Exclusive: Big North European investors reassess US exposure as geopolitical risk mounts
Reuters·2026-01-22 18:07

Core Insights - Major Northern European investors are increasingly cautious about the risks associated with holding U.S. assets due to rising geopolitical tensions, indicating a significant shift away from the U.S. financial market [1] Group 1 - The sentiment among pension chiefs reflects a growing wariness towards U.S. investments [1] - This trend suggests a broader movement among investors to reassess their exposure to the world's largest financial market [1]