The featured report explores key market dynamics and investment opportunities for the year ahead, emphasizing resilience and diversification.
Key Insights:
• U.S. Market Resilience: U.S. equities maintained strength in 2024, driven by strong corporate earnings and a Fed-engineered soft landing.
• Geopolitical Risks: Trade policies under the Trump administration could increase inflationary pressures and push Treasury yields to 5-6%.
• Diversification Opportunities: Japanese equities, U.S. small caps, and municipal bonds present compelling valuation opportunities.
• Emerging Trends: Rising interest in alternative assets, active ETFs, and bespoke investment solutions.
For a deeper analysis, access the full report.