Perspective Cross-Asset 2025 par les Experts de Natixis IM

Perspective Cross-Asset 2025 par les Experts de Natixis IM
Perspective Cross-Asset 2025 par les Experts de Natixis IM

Managers anticipate more volatility and investment opportunities in 2025.

In 2024, the U.S. economic landscape has evolved as inflation has declined, the job market has cooled, and the Fed has begun to cut interest rates. The new year marks the inauguration of a new administration with policy changes on the horizon. Despite uncertainty over the exact nature of these changes and their impact on the economy, market optimism is based on forecasts of growth supported by resilient consumption.

We asked investment professionals from Natixis Investment Managers and its affiliates to predict how the markets will perform this year. They provided us with their analyzes covering varied asset classes such as private real estate, undervalued stocks, bonds, options writing strategies, as well as perspectives on private equity, ETFs and trends in retirement security.

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Here are their predictions for 2025:

Swiss

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