Investor Letters
Cantor Fitzgerald Asset Management
- Strategy & Outlook Market Update Cantor Fitzgerald Asset Management kept its funds at the low end of their asset-allocation ranges, favoring Energy, Utilities, Banks and commodities as oil prices, inflation concerns and long-dated yields rose. It closed its US dollar overweight and further shortened bond duration amid concerns over Federal Reserve credibility, fiscal deficits and renewed geopolitical risk. July —
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