Global asset managers urge flexible portfolios as 60/40 strategy faces geopolitical strain

Verifying
  • Global asset-management leaders urged investors to diversify and adjust portfolios for geopolitical fragmentation.
  • 60/40 stocks-and-bonds allocations faced calls for scenario-based changes and alternative return sources.
  • JIFIC speakers identified conflicts, supply-chain duplication and defense spending as forces reshaping investment conditions.
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