Core Viewpoint - The article presents a bearish outlook on equities, highlighting significant risks such as high valuations and upcoming government debt maturities [1]. Group 1: Market Risks - Major risks identified include equity valuations that are at a 20-year high with growth expectations [1]. - The article emphasizes the need to address a series of government debt maturities that could impact market stability [1]. Group 2: Analyst Background - The analyst has over ten years of experience in financial analysis and portfolio management, covering various asset classes including equity, government bonds, and corporate bonds [1]. - The analyst's career began in asset management just before the Global Financial Crisis (GFC), providing a unique perspective on market dynamics [1].
When Value Becomes Momentum: Why Value ETFs No Longer Hedge Market Risk
Seeking Alpha·2026-01-06 07:57