Report
Martin J Rossner
EUR 216.66 For Business Accounts Only

Best-trade Portfolio – More defensive

​This month, the strategy rebalances the portfolio considerably. Acute financial risk in China and increasing late-cycle pressure and policy risk in the US cause a more defensive asset allocation. As a result, there is profit taking in Asian equities and (short) US bonds.

Provider
ThirdYear Capital
ThirdYear Capital

ThirdYear Capital is a provider of global macro strategy and portfolios, focusing on systematic countercyclical investing.

​​For additional information and contact, please refer to our website: http://third-year.com/

Analysts
Martin J Rossner

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