Annual Equities Fund Flows

Annual Equities Fund Flows Despite market volatility and economic uncertainty, investor appetite for equity funds remains strong, with consistent inflows. Investors remain optimistic about potential returns and long-term growth prospects of equities. Image: BofA Global Investment Strategy

U.S. Treasury Price vs. 200-Day Moving Average

U.S. Treasury Price vs. 200-Day Moving Average U.S. Treasuries are once again oversold. This can create opportunities for investors who believe that Treasury prices will eventually rebound. Image: BofA Global Investment Strategy

Return – Austria 100-Year Bond

Return – Austria 100-Year Bond Despite significant prior returns, the 100-year Austrian government bond’s long-term nature increased its susceptibility to interest rate fluctuations, resulting in the crash. Image: BofA Global Investment Strategy

Inflation Assets and Deflation Assets

Inflation Assets and Deflation Assets Should investors allocate a higher proportion of their portfolio to inflation assets while reducing their exposure to deflation assets? Image: BofA Global Investment Strategy

Asset Class Quilt of Total Returns

Asset Class Quilt of Total Returns Despite experiencing a significant selloff, the S&P 500 has managed to maintain its position as the top-performing asset since the start of the year, outperforming other investment options in the market. Image: BofA Global Investment Strategy Click the Image to Enlarge

Fed Balance Sheet

Fed Balance Sheet The shrinking of the Federal Reserve’s balance sheet can have an impact on liquidity and potentially act as a headwind for U.S. equities. Image: BofA Global Investment Strategy

Interest Rates Since 3000BC

Interest Rates Since 3000BC The end of the era of low global interest rates could potentially have far-reaching implications for both businesses and consumers alike. Image: BofA Global Investment Strategy

U.S. 10-Year Government Bond Annual Returns

U.S. 10-Year Government Bond Annual Returns Never before has the 10-year U.S. Treasury bond experienced three consecutive years of annual declines. Is this time different? Image: BofA Global Investment Strategy

Market – Themes for the 2010s vs 2020s

Market – Themes for the 2010s vs 2020s It is crucial to recognize the potential for a fundamental regime change, which could have far-reaching implications for investment strategies and decision-making processes. Image: BofA Global Investment Strategy