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Showing results for Eurizon Medium Volatility II
...Mooted revisions to Solvency II might increase the share of illiquid assets though, which are currently at about 12 per cent....
...These IPOs are absolutely critical to prospects in the wider economy: it tends to be small and medium-sized businesses that list on public exchanges and create future growth....
...His response was we need to hold our nerve through the market volatility and comprehensive details will be coming in November.”...
...“Since the advent of Mifid II, we've taken a big chunk of market share in the European research market,” he added....
...We called up Stephen Jen, CEO of Eurizon SLJ, a hedge fund that specialises in emerging markets, to get his thoughts on the matter....
...Initial Phase I/II efficacy data encouraging: Results from the Phase I/II COV001 study of AZD1222 indicate that the vaccine is immunogenic with antibody responses in 95% of subjects peaking by day-28 at...
...Mr Pagani said that Italian investors — who traditionally prefer fixed income to equity funds — were put off by increased volatility in Italian government bonds, which was caused by market jitters over the...
...We share mgmt’s view that the group is well positioned to benefit from improving markets over the medium/long term....
...But in its report, IEEFA found flaws in the operation that went beyond Petra Nova’s exposure to oil market volatility....
...This is a function of (i) sector exposure, as there are no oil stocks in the domestic list and (ii) that in GDP terms the UK has been hit no more than the Euro area by the lockdowns; arguably, the nimble...
...And JP Morgan: While the company has not provided a guide for margins, it expects lower gross margins (consistent with TW) due to (i) incremental costs from reduced productivity and (ii) further exceptional...
...Consequently we believe that: i) there is likely to be more two-way risk in markets going forward; ii) the medium-term risk-reward is attractive here, and iii) that this is a time to start adding exposure...
...The problem we have reporting on NMC’s daily volatility is that the shareholder list is both tight and multi layered....
...On the one hand, this is an avenue being pursued by many corporates right now to strengthen positions for the medium term which is understandable....
...(ii) such a property wealth tax would lead to inefficiency in investment behaviour....
...Against recent market correction and volatility, investors’ questions need to focus on the resilience of Balance sheets and Solvency II ratios (rather than earnings), to protect and deliver shareholder returns...
...History tells us that volatility will swing both ways, and there’s not a lot to get excited about in today’s rally, so let’s not....
...As fear dominates, we advise investors to stay put, but rationally balance the near-term risks with the medium-term opportunities....
...The US shale war II could see US crude production peaking in May and not crossing the 13mb/d mark ever again (even by 2025). The call on OPEC could rise by 3mb/d by 2025....
...After the political volatility of the last few years, there should now be greater political stability....
...If it’s ‘do we see someone planning very aggressive hiring and as a result taking a hit to their cost/income ratio in the medium term?’ for that, the answer is probably no.”...
...Nordea Bank said last week there were now half the analysts covering European small and medium-sized firms compared with a decade ago....
...Sterling is “one of the most mispriced G10 currencies, and sentiment is still way too bearish on the UK [economy]”, says Stephen Jen of Eurizon SLJ Capital....
...There are four main options: i) May’s deal, ii) another deal (eg. Norway for now), iii) no deal or iv) remain....
...Since World War II, our societies have taken promising steps in this regard. It is our responsibility to ensure the continued progress of that civilizing trend....
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