BofA Survey: Equity Weight in Funds Hits 5‑Year High
724FinanceKerem Tufan
Key Highlights
Bank of America’nin en yeni anketi, yatırım fonlarının **hisse senedi ağırlığının** beş yıl içinde gördüğü en yüksek seviyeye ulaştığını ortaya koydu.

Bank of America’s latest survey reveals that the equity weighting in investment funds has reached its highest level in five years.
What’s Driving the Sudden Surge in Fund Equity
The poll shows a 55% equity share, while the allocation to fixed‑income assets fell to 30%. This shift is linked to easing global liquidity conditions and a renewed appetite for risk.A Turning Point in Investor Behavior
Institutional investors are planning an additional 20% equity allocation, whereas retail investors favor a 15% tilt toward riskier assets. The trend especially boosts funds focused on technology and renewable energy sectors.Market Ripple Effects and Risk Intelligence
Strategic Takeaways and Recommendations
Markets should view this sharp rise in equity weighting as a sign of both improved global liquidity and revived risk appetite. Yet, the move also introduces low‑liquidity risk, especially if interest rates rise or geopolitical tensions flare. For SME lending and commercial credit growth, the tilt toward riskier assets may pressure banks’ capital adequacy and liquidity buffers, making a cautious calibration of credit policies essential.
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