Sovereign Wealth Funds Shift to Active Management to Better Navigate Political Uncertainty

According to a Study by Invesco

Date:

Canva

Author: Funds Society, Madrid

Active strategies are gaining ground as sovereign wealth funds seek greater precision and control alongside a core passive exposure

Fixed income is being revalued as a dynamic tool for portfolios, as it allows for liquidity management and yield generation in a context of increasing allocations to private markets

Shift in Direct Allocations to Digital Assets as Sovereign Wealth Funds Take Initial Steps Toward Strategic Exposure

Central Banks Strengthen the Resilience of Their Reserves Through Diversification, Improved Risk Frameworks, and Increased Gold Holdings