Systematic Tactical Allocation in Emerging Markets vs. U.S.: A Momentum-Based Approach
Cyril Dujava
The global investment environment is going through a period of meaningful structural change. The dominance of the U.S. dollar is increasingly being questioned, geopolitical tensions are rising, and macroeconomic uncertainty remains elevated. Together, these forces challenge the post-Global Financial Crisis environment in which U.S. equities consistently outperformed most international markets. As a result, investors may be approaching a turning point where relative returns between U.S. equities.
