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You are attested as a Financial Advisor / Intermediary, but this page is intended a Borrower.
You are attested as an Individual Investor, but this page is intended for a Borrower.
PGIM Multi-Asset Solutions’ Second Quarter 2025 Outlook examines the fundamental shifts transforming global markets following uncertainty around US policy. As recession probabilities rise and stagflation risks emerge, institutional investors face a challenging but potentially opportunity-filled landscape that may reward both defensive positioning and tactical agility.
Our comprehensive analysis provides institutional investors with actionable insights across public and private markets, highlighting potential opportunities as market leadership broadens beyond mega-cap technology. From strategic fixed income positioning to selective international exposure, we identify key themes that will likely influence portfolio performance in the months ahead.
The outlook features:
PMA’s multi-asset Portfolio Research team offers a balanced perspective on navigating this pivotal market transition, providing the insights needed to help position portfolios amid increasing volatility and changing correlations.
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