Gold’s Strategic Edge in an Unsettled Market

Terug

This report, authored by Senior Portfolio Manager Jingjing Chai, distills how shifting macro dynamics are reshaping gold’s role in multi-asset portfolios 

• Structural forces—central bank accumulation, fiscal strain, and de-dollarisation—have driven a more than 50% price surge into late 2025, reinforced by renewed support from a softer dollar and falling real yields.


• Gold’s low correlation with equities and Treasuries strengthens its profile as a strategic real asset in a fragmented geoeconomic landscape.


• Short-term corrections offer potential entry points as long-term structural drivers remain intact.

Explore the full analysis to see how these forces may reshape portfolio construction in 2026 and beyond.

Registreer of log in om verder te lezen. Investment Officer is een onafhankelijk journalistiek platform voor professionals werkzaam in de Belgische beleggingsindustrie. 

Een abonnement is GRATIS voor professionals die werkzaam zijn bij banken en onafhankelijke vermogensbeheerders.