This Is the Geographic, Sector, and Style Rotation of Portfolios Worldwide

Changes in Asset Allocation

Date:

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Author: Beatriz Zúñiga

According to Bank of America’s global fund manager survey, investors are more overweight in equities, emerging markets, and the eurozone, and more underweight in bonds, the U.S. dollar, and the U.S.

A certain sector rotation is also being observed: allocations to energy, materials, and consumer staples increased, while allocations to technology in U.S. equities and to the U.S. dollar were reduced

For experts, the recent style and sector rotations show that the market is broadening beyond the concentration in mega-cap technology

A net 23% is overweight the euro, a historic high since October 2004