Asset Allocation Insights - Quarterly Report: March 2024

Friday, 22 March 2024, 13:20

The risk rally continues to expand despite varying macroeconomic conditions and central banks adopting a cautious approach towards rate cuts. This quarter, we witness a decoupling between equities and sovereign bonds, alongside the emergence of valuation risks in specific areas such as equities and corporate credit. Stay informed on the evolving trends shaping asset allocation strategies in this insightful report.
https://store.livarava.com/a05b82a8-e931-11ee-969c-5254a2021b2b.jpe
Asset Allocation Insights - Quarterly Report: March 2024

Asset Allocation Insights - Quarterly Report: March 2024

The risk rally broadens despite macro backdrop dispersion and central bank rate cut caution. Equities and sovereign bonds decouple, and valuation risks grow in some equities and corporate credit.


This article was prepared using information from open sources in accordance with the principles of Ethical Policy. The editorial team is not responsible for absolute accuracy, as it relies on data from the sources referenced.


Related posts


Newsletter

Get the most reliable and up-to-date financial news with our curated selections. Subscribe to our newsletter for convenient access and enhance your analytical work effortlessly.

Subscribe