
News | 06 August 2025
Global #Trends by BBVA: Why Consider QIS Strategies?
In a market environment where traditional assets are struggling to deliver consistent returns, diversification matters more than ever.
QIS strategies, particularly FX carry, offer an attractive alternative. With correlations to 60/40 portfolios near historical lows, and spreads in LatAm at multi-year highs, now may be the right time to explore the benefits of systematic investing.
In this video, Ankit Gheedia, Head of QIS Research, Global Markets Strategy at BBVA, breaks down why these strategies can help investors navigate today’s evolving risk landscape.