JP Morgan Asset Management

Articles

July 2011

Opinion Eurozone crisis – a constructive response

What the package has done is help to create a fire-break to avoid the spread of contagion throughout the eurozone.

June 2011

Strategy Crisis - what crisis?

While the markets feel risky, the perceived risk has not been matched by a spike in market levels of implied volatility

May 2011

Opinion Greece: awaiting the inevitable

The credit default swap market is pricing in a 65% probability of a default within the next five years.

April 2011

Opinion The monetary policy crapshoot

One of the key factors driving the relentless move up in equity markets has been the massive surge in liquidity supplied by central banks. One of the biggest risks in the second quarter is whether the liquidity tailwind turns into a headwind for (...)

March 2011

Opinion Middle East turbulence: Impact on economic activity and risk assets.

There are no clear answers, given the fluidity of the situation and uncertainty over whether violence will spread further...

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