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All the articles related to market volatility

Articles

January 31

Strategy Finding opportunity in Europe’s volatility

Looking back at 2018, it was a year when European corporate earnings continued to grow, while market volatility was surprisingly high. The volatility was a result of both political noise and the fear of a slowdown in global (...)

September 2018

Strategy How I learned to stop worrying and embrace the “vol”

According to Christopher Gannatti, Head of Research, WisdomTree, the lesson here for investors is the potential to embrace volatility. Where a rising VIX typically equates to a short-term equity sell-off, EM investors who have used the dips as buying opportunities (...)

May 2018

News Most turbulences are behind for merger arbitrageurs

Market volatility also played out, as well as the growing share of jumbo deals, usually more sensitive to adverse developments. Amid very supportive conditions for M&A (from the tax reform in particular), weaker deal rationales are also mentioned as a greater source of (...)

March 2018

Strategy Survival of the fittest: adapting to complex markets

With monetary tightening expected, investors will need to consider the sensitivity of their equity portfolio to sovereign bonds and protect it as far as possible through active stock selection and sector allocation.

February 2018

Opinion The current volatility episode should be temporary

We have been expecting a pick-up in market volatility as part of our global outlook for 2018. The current volatility episode should, however, be temporary as market participants take note of the gradual normalisation of inflation and monetary (...)

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