Axiome Quarterly Q1 2025
January – March 2025
Performances were volatile month-on-month and mixed overall for the March quarter. Risk assets such as NZ and global equities in general were soft, but interest rate sensitive asset classes such as bonds and infrastructure performed relatively well, as did emerging market equities. Emerging concern around US imposition of tariffs was a key driver of performances.
Get FREE Quarterly Updates regularly
Sign up and keep up-to-date with key market trends – right in your inbox
1
Step 1