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All the articles related to portfolio’s allocation

Articles

December 2016

Opinion Reasons to like emerging markets

Risks to EM equities and bonds have increased since the U.S. election, with the incoming Trump administration’s policies on trade uncertain. Yet a cyclical growth pick-up benefitting EMs outweighs these risks for now, we believe, and supports selectively investing in EM (...)

December 2016

Note World’s largest institutional investors expecting more asset allocation changes over next two years than in the past

Institutional investors worldwide are expecting to make more asset allocation changes in the next one to two years than in 2012 and 2014, according to the new Fidelity® Global Institutional Investor Survey.

December 2016

Opinion Equity markets are being complacent on Italy & Europe

According to James Butterfill, Head of Research & Investment Strategy at ETF Securities, the Italian referendum yesterday signified a worrying trend for the rest of Europe in confirming the rise of populist parties in the EU, and particularly important given that 70% of (...)

November 2016

Strategy “Diversified Equity Factor Investing” combines four complementary factors that are loosely correlated with one another

Based on factor investment, this innovative approach capitalises on the attractive performances thus far of smart beta strategies. It is based on the combination, within the same portfolio, of four complementary factors that are loosely correlated with one another: Quality, (...)

November 2016

Opinion From “low volatility growth” to “high volatility value”

In our view, the recent sharp market rotation that we have seen – from “low volatility growth” to “high volatility value” – is a continuation and acceleration of the trend change that has been underway since the third quarter of this year. The turning point for “quality growth” (...)

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