Market Strategy

Asset Allocation 2017: Lower expected returns, Higher exposure to alternatives

Where to Invest in 2017? Geopolitical risks, lower expected returns and weak growth suggest greater exposure to alternative asset classes.

This report initiates our Asset Allocation series, which will see two major publications per year (in December and June) and two quarterly updates (in March and September), highlighting what has changed compared to the scenario described in the previous quarter.

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