Morgan Asset Management keeps a risk-on stance for multi-asset portfolios in Q3, favoring US, Japan and emerging-market equities and US high-yield bonds. It is neutral on European equities and holds a long bias in European bonds amid downside risks to European growth.

2026-07-13

Morgan Asset Management keeps a risk-on stance for multi-asset portfolios in Q3, favoring US, Japan and emerging-market equities and US high-yield bonds. It is neutral on European equities and holds a long bias in European bonds amid downside risks to European growth.