Market Strategy: Balancing Risks with Equities and Bonds
Francis Tan from Indosuez Wealth Management advises investors to prepare for volatility by balancing portfolios with equities and bonds. Given the current risks associated with tariffs, adding bonds can help mitigate equity volatility. This approach reflects a growing caution among investors as economic uncertainties loom. By diversifying investments, stakeholders can better manage risk and enhance long-term stability. Staying attuned to market signals will be critical for effective portfolio management in these unpredictable times.