Allianz Global Investors revises US rate forecast to hikes
Inflation persistence and Fed leadership shift drive expectation of 50bp rate hikes in H2 2026.
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Active asset management firm
allianzgi.comLast updated
In short: Allianz Global Investors expanded its infrastructure and private credit portfolios while navigating shifting central bank policies in 2026.
Inflation persistence and Fed leadership shift drive expectation of 50bp rate hikes in H2 2026.
Markets bend under US tariffs and Middle East crisis but do not break, requiring selective investing across regions and asset classes due to widening gaps.
The firm backs a minority shareholder proposal to elect an independent director, enhancing board independence and governance.
The investment supports Pure DC's hyperscale data centre development across EMEA and Asia, aligning with AllianzGI's infrastructure debt strategy.
Allianz is being viewed as the leading contender to buy HSBC Holdings’ insurance business in Singapo...
Allianz Global Investors is in exclusive talks to buy the asset management division of Singapore's United Overseas Bank Ltd., according to people familiar with the...
Allianz Global Investors will allow previously banned defense-related assets to be held in some ESG funds, a move it says ...
One day after the AGM, the stock goes ex-dividend. At current prices, the payout yields roughly 4.4%. Historically, Allianz shares have gained an average of...
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