It’s a stat…and that’s that! – Results from our 2019 Investor Survey

 

Firstly, investors were asked to choose the top 3 key issues impacting on their investment decision-making process over the next 12 months. The top 3 key issues were chosen to be:

  1. Market volatility
  2. Protecting capital
  3. Meeting total return objectives

Investors were also asked which asset classes they would consider investing in over the next 12 months. The top 15 chosen asset classes are shown below:

  1. Global Equity
  2. Corporate Bonds
  3. UK Equity
  4. UK Bonds
  5. Emerging Market Debt
  6. Multi Sector Fixed Income/Multi Asset Credit
  7. LDI
  8. Infrastructure Debt
  9. Infrastructure Equity
  10. Emerging Market Equity
  11. Diversified Growth Funds (DGF)/Multi Asset
  12. Real Estate
  13. Global Bonds
  14. High Yield Bonds
  15. European Equity

Thank you to all investors who took the time to answer the survey!
Next week we will be taking a look at the results from our survey of asset managers.