QCP Market Update – 8 Feb 24
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Global large institutional investors hold approximately $4.6 trillion in U.S. assets, but the forex hedging ratio is only 41%, the lowest since 2015. The simultaneous weakening of both declining hedging costs and the U.S. dollar’s safe-haven status is undermining the main rationales behind low hedging strategies. If market sentiment reverses, every 5 percentage point increase in the hedging ratio could trigger about $230 billion in selling pressure.
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