April 2025 – Markets Review – Gold Outperformance & Recovery in Global Equities
April 2025 Capital Markets Performance Review April was a volatile and revealing month for global capital markets, with currency fluctuations, sector rotation, and policy uncertainty shaping returns across equities, commodities, and FX. 1. Currency-Driven Equity Gains Strategic Implication: The weaker USD is lifting non-US equities for dollar-based investors. We maintain our recommendation for a 30%…
