House View Q1 2025
This Allianz Global Investors Q1 2025 House View provides an in-depth analysis of market trends and strategic opportunities in the wake of shifting global economic policies.
Key Highlights:
• U.S. Market Outlook: Anticipated fiscal stimulus and deregulation under Trump’s administration may boost growth but carry inflation risks, prompting potential Fed policy adjustments.
• Geopolitical Risks: Trade tensions and eurozone political challenges could impact global supply chains and investor sentiment.
• Asset Preferences: Favor European bonds over U.S. due to anticipated ECB rate cuts; undervalued Japanese and UK equities present compelling opportunities.
• Diversification Strategies: Emphasize uncorrelated assets like gold and volatility plays amid expected market fluctuations.
For actionable insights and detailed strategies, access the full report.
Register or log in to continue reading. Investment Officer is an independent journalism platform for professionals working in the Luxembourg investment industry.
A subscription is free for professionals working at banks and independent asset managers.