大类资产相关性提升,基金重新审视多元配置
尽管近期市场显现企稳迹象,2026年开年以来全球资本市场多次出现股、债、大宗商品等大类资产同涨同跌的现象,相关性提升,正促使基金经理重新审视传统多元化配置的对冲有效性。从美联储降息预期反复到地缘冲突引发的“一油升而万物落”,传统的“股债商”对冲逻辑频频失效,多资产策略的FOF净值
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