Several top Asian and Middle Eastern investors including sovereign funds are asking to steer clear of US assets, spooked by policy shocks under Donald Trump, according to one of Europe’s largest private markets investors.
Executives at Partners Group told the Financial Times that some funds are asking to avoid US exposure entirely, citing uncertainty around tariffs or other potential trade or investment restrictions.
“There’s more people who look from Asia into non-US exposure,” said Roberto Cagnati, head of portfolio solutions at the Swiss firm, which manages assets worth more than $170bn, almost half of which are in the US.
您已阅读20%(631字),剩余80%(2596字)包含更多重要信息,订阅以继续探索完整内容,并享受更多专属服务。