Institutions hold firm on strategic gold overweights
Despite short-term volatility and elevated interest rates, central bank buying and geopolitical uncertainties are driving Asian investors to reinforce their positions in gold for the rest of the year.
.png&c=1&h=677&q=100&v=20265529&w=1204)
Institutional investors are poised to keep their strategic overweight positions in gold throughout the second half (H2) of 2026, viewing the metal as an essential portfolio diversifier against an increasingly complex macroeconomic backdrop.
Sign in to read on!
Registered users get 2 free articles in 30 days.
Subscribers have full unlimited access to AsianInvestor
Not signed up? New users get 2 free articles per month, plus a 7-day unlimited free trial.
¬ Haymarket Media Limited. All rights reserved.