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Currently, the center of bond yield is low, and the dividend space for traditional fixed income assets is narrowing. At the same time, the structural differentiation of global stock markets has intensified, the bond market is more sensitive to changes in inflation, fiscal and monetary policies, and price fluctuations in commodities such as crude oil, gold, and non-ferrous metals have also increased. Linkages between different markets have increased, making it more difficult to obtain steady returns by simply relying on equity and bond combinations. Many interviewees believe that in the face of declining income centers and rising uncertainty, investors need to appropriately lower earnings expectations for a single asset, gradually shift from traditional equity and debt portfolios to multi-asset and multi-strategy allocations, and enhance the adaptability of portfolios in different market environments by broadening revenue sources and strengthening risk budgets and dynamic management.
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Currently, the center of bond yield is low, and the dividend space for traditional fixed income assets is narrowing. At the same time, the structural differentiation of global stock markets has intensified, the bond market is more sensitive to changes in inflation, fiscal and monetary policies, and price fluctuations in commodities such as crude oil, gold, and non-ferrous metals have also increased. Linkages between different markets have increased, making it more difficult to obtain steady returns by simply relying on equity and bond combinations. Many interviewees believe that in the face of declining income centers and rising uncertainty, investors need to appropriately lower earnings expectations for a single asset, gradually shift from traditional equity and debt portfolios to multi-asset and multi-strategy allocations, and enhance the adaptability of portfolios in different market environments by broadening revenue sources and strengthening risk budgets and dynamic management.
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