Institutional Capital Is Still Risk-On—But Quietly Rotating

Précédent

State Street’s global investor study shows that large institutions are not de-risking outright, but they are becoming far more selective in where that risk sits. 

  • Equity allocations remain near decade highs, but positioning is shifting—investors are trimming U.S. exposure and reallocating toward Europe, Japan, and emerging markets.
  • The report notes a clear shift in AI positioning: rather than concentrating in megacap tech, funds are diversifying into infrastructure, energy, and data centers tied to the AI ecosystem.
  • Currency flows reinforce the trend: investors are reducing dollar exposure and increasing allocations to the euro and other developed market currencies.

What emerges is not a risk-off world, but a more cautious one—where concentration risk is being quietly unwound.

Enregistrez-vous ou connectez-vous pour lire la suite. Investment Officer est une plateforme journalistique indépendante à destination des professionnels de l’industrie belge des investissements. 

L’abonnement est GRATUIT pour les professionnels actifs au sein de banques et gestionnaires d’actifs indépendants.