Rebalancing the Global Portfolio

Strategic Asset Allocation in a Post-Liberation Landscape

A decade of U.S. dominance left global portfolios heavily concentrated. “Liberation Day” may mark the start of a structural reset.

In this paper we analyse how asset owners are responding — rethinking equity concentration, rebuilding fixed income allocations, and reallocating capital toward Europe, the UK and Japan.

Leave a Comment

Your email address will not be published. Required fields are marked *