This report, produced by L&G’s Asset Allocation, Economics, and Strategy teams, assesses shifting macro conditions and their implications for multi-asset positioning.
Global growth is resilient, supported by robust US AI-driven investment, while hiring softness heightens vulnerability to shocks.
Equity and duration views remain neutral, but credit stays significantly underweight as spreads offer limited compensation for risk.
Opportunities arise in selective sovereigns, infrastructure trusts, and currency pairs, while valuation mean reversion now enhances expected-return modelling.
Explore the full report to examine the detailed analysis and strategic insights behind these positioning decisions.
This report, produced by L&G’s Asset Allocation, Economics, and Strategy teams, assesses shifting macro conditions and their implications for multi-asset positioning.
Global growth is resilient, supported by robust US AI-driven investment, while hiring softness heightens vulnerability to shocks.
Equity and duration views remain neutral, but credit stays significantly underweight as spreads offer limited compensation for risk.
Opportunities arise in selective sovereigns, infrastructure trusts, and currency pairs, while valuation mean reversion now enhances expected-return modelling.
Explore the full report to examine the detailed analysis and strategic insights behind these positioning decisions.