Sticky inflation and decoupling to maintain volatility – report

18th March, 2025

Gregory Rosenvinge
Man looking at monitors with trading graphs

Inflation risks and global uncertainty are increasing the likelihood of persistent volatility with weakening correlation between asset classes having “major implications” for portfolio construction, a new report has concluded.

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ABN AMRO
Bank of America
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Citi
Goldman Sachs
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SGX
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ABN AMRO
Bank of America
CBOE
Citi
Goldman Sachs
DRW Holdings
HSBC
J.P Morgan
Marex
Morgan Stanley
SGX
SocGen
Susquehanna
MUFG Investor Services
TP ICAP

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