Quantitative hedge funds achieve double-digit returns in 2026, driven by strong commodity trends. Energy, currencies, and metals fuel gains as trend-following strategies capitalize on supply shocks and geopolitical shifts.
Anthony Pompliano highlights that gold and Bitcoin have significantly outperformed on a multi-year CAGR basis, even as short-term geopolitical jitters hit crypto markets.
Samsung Electronics and SK Hynix hit a record 42% of Kospi in May, raising concentration risk. Analysis of implications for investors and market stability.
CNBC experts share three investment strategies for navigating market volatility, focusing on AI productivity gains and European/Japanese opportunities.