BUSINESSBLOOMBERG
Sovereign Funds Pivot Further to Private Assets in Risky Markets
Sovereign funds are increasing their allocation to private assets amid volatile and risky markets. This strategic shift reflects a broader trend of diversification to mitigate risks in uncertain economic conditions.
Related Signal
Adjacent reporting
- Pimco's Stracke Sees Client Diversification Away From US
- Retail Traders Dive Into Private Markets
- Kyle Bass: Expect More Concentration in US Assets
- Sovereign funds move from public markets to private to ride AI wave
- Global Investors Boost Dollar-Hedging Ratio to Two-Year High
- Citigroup Strategists Upgrade US Stocks on ‘Defensive Tilt’