GrizzlyBearBee

Asset managers remain invested in the S&P

Satış
CAPITALCOM:US500   US 500
Since July 26, 2021, asset managers have reduced their exposure to the S&P 500. However, last week, they increased their exposure.

BofA came out to mention that retail traders have piled in HG bonds and stocks other than tech stocks. On the other hand, they reiterated that they expected interest rates and bond yields to keep rising. This could further impact valuations of stocks, especially growth stocks.

Question is, who is right?

Feragatname

Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, işlem veya diğer türden tavsiye veya tavsiyeler anlamına gelmez ve teşkil etmez. Kullanım Şartları'nda daha fazlasını okuyun.