Multi-Asset Funds Emerge as Strategic Hedge Against 2025 Market Volatility
As geopolitical tensions and trade realignments loom over 2025's financial landscape, multi-asset allocation funds (MAAF) are gaining traction as a defensive bulwark. These vehicles blend equities, debt, and commodities—notably gold—to mitigate risk while capturing cross-cycle opportunities.
Top-performing funds now emphasize tactical flexibility, with mandates ranging from aggressive growth to systematic alternatives. The selection calculus hinges entirely on risk tolerance—a determinant that outweighs even asset-class preferences in turbulent markets.