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Equity Markets Positioning Model: Positioning Divergence Widens Across Global Equities

发布日期: 2026-07-14研究机构: Citi报告页数: 39原文语言: English证据页码: 1

研报英文原文证据摘录

Equity Markets Positioning Model: Positioning Divergence Widens Across Global Equities

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13 Jul 2026 20:45:20 ET │ 39 pages

Equity Markets Positioning Model

Positioning Divergence Widens Across Global Equities

CITI'S TAKE

Europe

Global equity positioning remains highly fragmented, with flow dynamics

diverging meaningfully across regions. In the US, last week’s rise across David T Chew AC

markets was not matched by stronger positioning, suggesting limited +44-20-7986-7698

conviction beneath the recent rally. Europe presents a mixed picture, with david.chew@citi.com

subdued and indecisive flows weighing on broader positioning while Euro

Banks continues to remain resilient. Asia provided the clearest expression

of regional divergence, as genuine re-risking into Hang Seng contrasts US

sharply with continued deterioration in KOSPI. Notably, both Nasdaq and

KOSPI point to weakening positioning momentum across technology- Richard W Schlatter

sensitive markets, with US technology exposure increasingly reliant on +1-212-816-0591

short-covering support while Korean equities have already witnessed richard.w.schlatter@citi.com

bearish re-positioning.

Anju Bhandari

US – Large cap positioning eases — US positioning weakened despite last week’s +1-212-816-3812

index rise, suggesting the recent rally has not been accompanied by a meaningful anju.bhandari@citi.com

increase in investor conviction. Both Nasdaq and S&P 500 position levels declined

over the week, although normalized positioning remains modestly bullish.

Elsewhere, Russell 2000 positioning stays extended following a recent short- Asia-Pacific

covering cycle, leaving small caps more vulnerable to de-risking should macro data

challenge the current risk-on narrative. Yue Hin Pong

+44-20-7986-3953

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