BOSTON--(BUSINESS WIRE)--Nov 19, 2025--
After three consecutive years of double-digit returns on most indexes, almost 8 in 10 (79%) U.S. institutional investors say that markets are due for a correction in 2026, according to survey findings published today by Natixis Investment Managers (Natixis IM). On average, U.S. institutional investors assign a 49% probability of a 10 - 20% market correction in 2026, and a 20% probability of a market correction deeper than 20%.
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Developed with CoreData Research, Natixis IM surveyed 515 global institutional investors in September and October 2025 who collectively manage $29.9 trillion in assets for public and private pensions

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