Viewpoints with Burkhard Varnholt - A global markets podcast (Ep. 52)
From the original
On this week’s episode of Viewpoints, Burkhard shares his thoughts on what’s driving recent market momentum and the contributing factors to selling pressure. With year-end approaching, we also dive into CIO’s investment expectations for 2026. Plus, some boots-on-the-ground insigh
Related speeches
4 itemsViewpoints with Burkhard Varnholt - A global markets podcast (Ep. 22)
Viewpoints with Burkhard Varnholt - A global markets podcast (Ep. 64)
The dest reflects on the insights shared by Burkhard Varnholt regarding recent market dynamics and their potential implications for asset allocation strategies. Per the full note [source], key risks influencing investor sentiment include geopolitical tensions and concerns over fiscal management, with family offices indicating a desire to increase their exposure to private markets, AI, and technology despite these fears. Notably, family offices currently allocate an average of 34% of their assets to private markets, hinting at a strong bullish outlook for these areas even amidst broader market uncertainties. This sentiment aligns with the prevailing bullish equity momentum observed in markets, which reflects ongoing investor appetite despite inflationary pressures on bonds.