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US investors rethink bonds’ role as inflation reshapes portfolios

US investors are reducing bond allocations and increasing inflation-sensitive assets. This shift aims to diversify portfolios against market volatility and rising prices. Commodities, infrastructure, and private credit are gaining favor among these investors. Bonds have historically provided a hedge but are now less reliable. This strategic adjustment seeks better portfolio resilience in uncertain economic conditions.

Source :- Markets-Economic Times Read More

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