Chetan Ahya, Morgan Stanley's Chief Asia Economist, discusses three key investment decisions facing Asian investors due to the weakening U.S. dollar. He analyzes the diversification away from U.S. assets, the allocation of incremental savings to the U.S., and the increased hedging of U.S. exposure. While noting that Asian investors aren't currently diversifying en masse, they are allocating less of their incremental savings to U.S. assets, and increasing hedging strategies, as evidenced by data showing a decline in the share of U.S. assets in Asia's securities portfolio and increased hedging demand reflected in appreciating Asian currencies. The podcast concludes by highlighting the significant influence of Asia's $46 trillion investment position on future currency trends.
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