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Source: Sky News
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In the context of rising global interest rates, investment institutions are moving towards restructuring their portfolios to adapt to the new environment, which requires a balance between fixed income tools and defensive stocks. Experts recommend focusing on purchasing short- and medium-term bonds and investing in stocks of companies with stable dividends and profits, while diversifying the portfolio among stocks, gold, and cryptocurrencies. Outlooks also indicate that bond yields will continue to rise due to increased demand for financing, especially with the rise in corporate and treasury bond issuances. This encourages investors to adopt flexible strategies to ensure capital protection and achieve stable cash flows.
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