BofA調查:基金經理對加密貨幣仍持觀望態度




BofA調查:基金經理在市場增長中仍將加密貨幣配置保持在接近零的水平

根據美國銀行(Bank of America,簡稱BofA)最新的基金經理調查,機構投資者對加密貨幣的參與度依然微乎其微,平均配置接近零。

該調查於九月份進行,結果顯示67%的基金經理對比特幣(BTC-USD)、以太坊(ETH-USD)、瑞波幣(XRP-USD)和泰達幣(USDT-USD)等數字資產的配置為零。這表明,對於許多機構投資者來說,加密貨幣仍然不在傳統投資組合的考量範圍內。

儘管大多數基金經理仍未參與市場,但仍有少數人開始嘗試。只有3%的受訪者報告有2%的配置,另外3%持有4%的配置,僅有1%的人對加密貨幣的配置達到8%或以上。

配置比例微小:

在所有受訪者中,加密貨幣的加權平均配置僅占資產管理總額的0.4%。即使是在那些已經進入數字資產市場的基金經理中,加權配置也僅為3.7%。這一數字與股票、債券和現金等傳統資產類別的配置相比,顯得微不足道,後者的配置通常以兩位數計算。

結構性猶豫:

更引人注目的是,對加密貨幣的結構性看法。調查中有84%的參與者表示尚未開始對這一資產類別進行結構性配置。只有8%的人表示已經開始,這表明大多數基金經理將加密貨幣視為戰術性或機會性投資,而非長期投資策略的一部分。

更廣泛的背景

這些發現正值加密貨幣在零售市場的採用持續擴大之際,監管框架也在緩慢成熟,越來越多的產品(如現貨比特幣交易所交易基金(ETFs))為投資者提供了受監管的方式進入數字資產市場。然而,機構投資者的懷疑情緒依然存在,主要集中在波動性、監管不確定性以及加密貨幣在多元化投資組合中的角色等問題上。

目前,美國銀行的調查突顯出一個明顯的差距:儘管加密市場的交易量達到數萬億美元,專業基金經理仍然大多處於觀望狀態。

從這份調查中,我們可以看出,加密貨幣市場的發展與機構投資者的態度之間存在著明顯的矛盾。雖然市場規模龐大且不斷增長,但傳統金融機構卻對其持續保持懷疑,這可能反映出對於風險管理和資產配置的保守態度。隨著市場的成熟和更多合規產品的推出,未來機構投資者是否會改變其策略,值得我們持續關注。

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