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16th July 2026

Inflation is reshaping the case for private markets

Highlights

  • The shift to an inflationary backdrop challenges multi-asset portfolios – undermining traditional diversification as equity–bond correlations become less reliable.
  • Private markets can play a role in mitigating inflationary risk in multi-asset portfolios.
  • A selective, diversified approach to high-quality assets is key to building resilience across inflation regimes.

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