Active Management as a Driver of Returns in Volatile Markets

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Allianz Global Investors’ Get Active report outlines why active strategies are increasingly essential in today’s divergent and uncertain markets.

  • Divergence across economies, shifting equity-bond correlations, and US equity mispricing highlight the limits of passive investing.

  • Active levers include managing bond duration, pivoting equity exposure across styles and regions, and hedging FX and volatility risks.

  • Diversification via gold, EM debt, cat bonds, and private markets can strengthen portfolio resilience.

Explore the full report to see how active multi-asset strategies can unlock opportunities and mitigate risks as traditional norms falter.

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