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Investors are increasingly looking to boost their bond allocations, with 99% planning to increase exposure within 18 months, driven by attractive yields and the need for strategic rebalancing. A survey shows 57% view their portfolios as underweight in fixed income, prompting shifts from equities to bonds to mitigate risks and realize gains. Experts emphasize the importance of reassessing asset allocation strategies in light of current market conditions, suggesting diversification into inflation-linked bonds and other assets to address future challenges.
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