With trade policy and tariff deal-making dominating the recent news cycle, investors say they aren’t waiting idly by for a resolution before taking investment action.
CoreData’s latest research shows that institutional investors globally are making tactical and/or strategic asset allocation moves as a result of trade policy, even as a majority are confident that the US and China will reach a deal that limits economic disruption. Our survey data indicates investors are trimming US exposure in the face of trade uncertainty while positioning portfolios for resiliency.
To find out more about our industry insights and research programs, contact Michael Morley at [email protected]
Access Report Snapshot
To read a snapshot PDF of this report click below.
Access Full Report
To access the full report, please provide the details below and a member of our team will contact you.