Hedge funds expand - London Business News | Londonlovesbusiness.com
Briefly

May 2025 marked a solid recovery for hedge funds, primarily driven by a rebound in global equity markets, particularly within equity-focused and multi-strategy funds. However, fixed income strategies continued to feel pressure due to market disruptions and sovereign debt concerns. Investor interest has notably shifted towards macro, relative value, and event-driven strategies in response to geopolitical risks and economic uncertainty. Additionally, large multi-strategy funds are increasingly investing in smaller, specialized managers to navigate return pressures, while emerging allocations to digital assets reflect a growing interest in the crypto space as regulatory milestones are reached.
The recovery in May 2025 highlights a significant shift in investor interest towards more agile and opportunistic hedge fund strategies amid ongoing geopolitical risks.
Investor interest is pivoting towards macro, relative value, and event-driven strategies as economic uncertainty in the US drives demand for flexible investment approaches.
Read at London Business News | Londonlovesbusiness.com
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