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The case for commodities futures

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As institutional investors seek greater diversification and look to build portfolio resilience, exposure to commodities stands out. 

 

In our latest paper, QIC’s Liquid Markets Group unpacks the case for commodities as a strategic allocation – offering diversification, inflation resilience and return potential exposure to global growth. We also explore the cyclical and structural forces driving markets today, and the advantage of commodity futures over other exposures to the asset class.
 

For investors reassessing portfolio construction in today's uncertain environment, this is a timely read. Download the paper for a closer look at the investment thesis.