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Rupal Bhansali Says Vast Majority of U.S. Tech Stocks are Overvalued
Bloomberg TV What’d You Miss
May 24, 2021

Rupal Bhansali, Chief Investment Officer & Portfolio Manager of International and Global Equities, shares why she believes global markets are on the cusp of a regime change.




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In the broadcast replay, Rupal Bhansali, portfolio manager of Ariel Global Fund and of Ariel International Fund, candidly discusses her opinions on the market, including the effects of interest rates on companies, certain sectors, and specific stocks. These opinions were current as of the date of the broadcast but are subject to change. The information provided in the broadcast does not provide information reasonably sufficient upon which to base an investment decision and should not be considered a recommendation to purchase or sell any particular security. The performance of any single portfolio holding is no indication of the performance of other portfolio holdings of Ariel International Fund or Ariel Global Fund. See current holdings information for Ariel Global Fund by clicking here. See current holdings information for Ariel International Fund by clicking here. The information contained in the broadcast is not guaranteed as to its accuracy or completeness.

Investments in foreign securities may underperform and may be more volatile than comparable U.S. stocks because of the risks involving foreign economies and markets, foreign political systems, foreign regulatory standards, foreign currencies and taxes. The use of currency derivatives and exchange-traded funds (ETFs) may increase investment losses and expenses and create more volatility. Investments in emerging markets present additional risks, such as difficulties in selling on a timely basis and at an acceptable price. The intrinsic value of the stocks in which Ariel international and global strategies invest may never be recognized by the broader market. The Ariel international and global strategies are often concentrated in fewer sectors than their benchmarks, and their performance may suffer if these sectors underperform the overall stock market. Investing in equity stocks is risky and subject to the volatility of the markets. Past performance does not guarantee future results.




 
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