Against this backdrop, diversifying into other stock markets may help investors achieve above-average returns
This has obviously led to stretched valuations for the US market, especially when we look at it from a historical perspective. For instance, the Buffett indicator — which measures the total market cap of the stock market against the country's GDP — is currently running at a high of 180%; a level only reached in 2020 and 2021 in the last decade.
However, the current macro backdrop implies higher risks than we have seen over the last few years, which must be acknowledged and dealt with when positioning our portfolios. After decades of retraction on the back of a deflationary environment and bad demographics, Japan is finally witnessing what appears to be a structural rebound.
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