Global asset prices are fluctuating, and diversified investment advisory portfolios serve as "shock absorbers".

date
26/05/2025
Since 2025, global capital markets have experienced significant volatility due to various factors. In this context, investment advisory portfolios focusing on global multi-asset allocation have shown significant "stress-resistant" resilience, with some portfolios controlling drawdowns within 2%. Industry insiders believe that diversified investment advisory portfolios still need ongoing optimization. It is necessary to grasp the rebalancing rhythm under international changes and also to alleviate investors' anxiety emotions during extreme volatility through professional guidance. In this silent wealth protection battle, fund advisors may provide investors with more possibilities for multi-asset allocation.