For Professional clients only

Opinion Piece - Dangers and opportunities in a highly correlated world - Jan 12

03 January 2012


Dangers and opportunities in a highly correlated world - Jan 12

The key points to note are:

·          Each of the past four years has witnessed periods of extreme volatility in equity markets, with correlations rising between stocks

·          Asset classes have also between affected by higher correlations, reducing the benefits of diversification.

·         As such, we believe investors should look to allocate more capital to uncorrelated investments, such as genuine absolute return funds.