OFI AM recommends neutrality in Equity, higher risk in fixed income, and to increase alternative investments in 2021

by | 24 May 2021

French asset manager OFI Asset Management has published its 2021 market outlook and investment recommendations report. According to OFI AM, the current scenario is characterized by three topics : excellent corporate earnings, cautious view from central banks  in order to consolidate economy recovery, and the governments increasing their public debt and tax burden to reinforce growth and boost the green economy. This is an scenario where OFI AM recommends a reasonable exposure for investments in equity;  high yield and emerging bonds in local currency for the fixed income, and to increase alternative assets in portfolio.

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