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Defensive Sectors Regain Favor As Confidence Remains Fragile

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Against a backdrop of slower growth and governance-related uncertainty, investors are increasingly rotating toward stability rather than scale.

BDO highlighted that persistent growth concerns, weakened business confidence following a corruption scandal, and uncertainty surrounding a potential leadership change at the US Federal Reserve later this year argue for a defensive portfolio stance. These risks, taken together, favor sectors with predictable demand and steady cash flows.

Locally, REITs, utilities, telecommunications, and consumer staples are emerging as preferred havens. These sectors benefit from sticky consumption patterns, regulated or quasi-regulated revenues, and reliable dividend payouts, qualities that become especially valuable during periods of macro uncertainty.

Rather than signaling pessimism, the shift reflects a recalibration of risk, as investors prioritize resilience over rapid expansion in the current environment.

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