Reported about 1 year ago
Amid the escalating U.S. presidential election and the resultant impact on the stock and debt market dynamics towards the end of this year, Mega Bank's multi-asset securities fund research team recommends utilizing multi-asset strategies as core strategies to navigate the market volatility. They suggest dynamical asset allocation and regionally balanced investment strategies like multi-asset funds to reduce volatility risks and enhance asset allocation capabilities. Specifically focusing on the European and Asian markets, the team favors the recovering European markets and the Asian stock markets benefitting from increasing demand in Europe, suggesting positive outlooks. The team also emphasizes the importance of continuously including multi-asset type funds and adopting phased entry strategies for investments in Japan.
Source: YAHOO