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.