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LatAm Fund Manager Survey: Cautious positioning amid election uncertainty
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LatAm Fund Manager Survey: Cautious positioning amid election uncertainty
LatAm Fund Manager Survey
Exhibit 2: % of investors planning on increasing their equity allocation Exhibit 3: What do you consider the biggest external tail risk for LatAm
in the next 6 months markets?
Share of investors planning to increase equity allocation is below hist. Higher US rates considered the biggest tail risk.
80%
% planning on increasing Average Higher US rates
60% Strong USD
Geopolitical events 40%
China and commodities
20% May-26
US Slowdown Apr-26
0%
0% 10% 20% 30% 40% 2018 2019 2020 2021 2022 2023 2024 2025 2026
Source: LatAm Fund Manager Survey Source: LatAm Fund Manager Survey
BofA GLOBAL RESEARCH BofA GLOBAL RESEARCH
Exhibit 4: Which sectors within equities are you most overweight? Exhibit 5: Which sectors among equities are you most underweight?
Participants are most overweight utilities Participants are more underweight than they are overweight in cons.
discretionary, communication services, cons. staples, and industrials.
Utilities
Energy
Financials
Materials
Consumer Staples Consumer Staples
Consumer Discretionary Consumer Discretionary Overweight
Industrials May-26 Industrials
Underweight Communication Services Apr-26 Communication Services
0% 10% 20% 30% 40% 0% 10% 20% 30% 40%
Exhibit 6: Which strategies do you believe could outperform over the Exhibit 7: What are your expectations for the USD in 2026?
next 6 months? Most participants expect a weaker USD in 2026.
Growth is now the favorite strategy.
May-26
Growth Stronger USD
Apr-26 High quality
Commodities / exporters
Unchanged Value
Banks
High volatility / high beta Weaker USD
High dividend yield May-26
Low volatility / low beta Apr-26
0% 20% 40% 60% 80%
0% 20% 40% 60%
Source: LatAm Fund Manager Survey
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