KKR建议投资者积极配置风险资产 对冲美元走弱风险
Core Viewpoint - KKR & Co. suggests that investors may be underestimating the potential for further increases in stocks and other risk assets, while also advising to hedge against risks such as a weakening dollar, rising bond yields, and increased market volatility [1] Group 1 - Analysts indicate that easing financial conditions, global central bank monetary easing, productivity improvements, and insufficient net issuance create a favorable environment for risk investments [1]