All central bank meetings will trigger the USDCAD to move sharply and you can expect high
levels of volatility when for example, the press conference on the meeting of the Bank of Canada is taking place.
Not exact matches
When asked if he was worried about U.S. shale producers ramping production and eclipsing the recent international cuts, Novak said, «Undoubtedly the joint action by many countries to achieve the balance and to reduce the output are aimed at giving stability to the market and as a result we see a great
level of investment, lower
volatility, prices stabilizing at a certain
level, which does play out to move investment going into shale production so one needs to assess the overall supply and demand balance.»
Today's market calm follows harrowing
levels of market
volatility over the last two weeks
when the TSX fell more than five per cent and Wall Street indexes entered «correction» territory.
In times
of increased
volatility a trader must widen their stops thus increasing the
levels of risk they must assume
when taking a trade.
We have a saying that «
when the CBOE
Volatility Index1 (VIX Index) is low it's time to go» — the VIX is often referred to as the fear index or fear gauge, and
when it's at low
levels, we think it could be a prudent time to move a little more out
of risk assets.
Stocks with a history
of consistently growing their dividends have historically tended to perform well and exhibit less
volatility in a rising rate environment, while high yielding dividends, often considered «bond - like proxies,» have tended to be more vulnerable (due to their high debt
levels) and have historically followed bond performance
when rates rise.
By reducing
volatility and potential losses, within your contract, the Market Stabilizer Option ® can provide a
level of comfort at times
when the market is unpredictable and protect your policy's cash value from extreme fluctuations.
Due to
volatility in the stock market and the
level of volume a stock has the final price for the stock purchased or sold may vary slightly from
when the trade was placed.
Even those who fear stocks because
of price
volatility should reconsider
when P / E10 falls below its typical historical
level of 14 or 15.
When building multimanager white label options, WTW recommends focusing on multiple
levels of risk including
volatility, drawdowns and liquidity risks; focusing on investment ideas where the plan can capture returns from a competitive advantage; and only use active management where the net
of fee proposition is compelling.
REIT returns tend to «zig»
when those
of other investments «zag,» helping to reduce a portfolio's overall
volatility and improve its returns for a given
level of risk.
You may also want to take a look at the chart called «
When allocating your portfolio, consider the return and
volatility trade - offs» in the Fidelity Viewpoints ® article to learn how blending different types
of investments can help you achieve different
levels of risk and return.
Of course, in the regular world most investors inhabit, things aren't so simple... Another look at the long - term chart shows
volatility can trade at historically low
levels for years at a time... only to spike, by definition,
when you least expect it.
When a position is unwound or sold, the value
of the callable security will depend on the new
level of implied
volatility.
With TD Low
Volatility Funds, you can potentially benefit from a reduced level of volatility in your overall portfolio, a more predictable return outcome when compared to traditional equity mutual funds, and with the option of Canadian, US, global, or emerging market low volatility funds, you can tailor a diversified portfolio based on your level of risk and investm
Volatility Funds, you can potentially benefit from a reduced
level of volatility in your overall portfolio, a more predictable return outcome when compared to traditional equity mutual funds, and with the option of Canadian, US, global, or emerging market low volatility funds, you can tailor a diversified portfolio based on your level of risk and investm
volatility in your overall portfolio, a more predictable return outcome
when compared to traditional equity mutual funds, and with the option
of Canadian, US, global, or emerging market low
volatility funds, you can tailor a diversified portfolio based on your level of risk and investm
volatility funds, you can tailor a diversified portfolio based on your
level of risk and investment goals.
It is important to note that Visa's CEO does have a valid point
when it comes to the record
levels of volatility and speculation in the cryptocurrency market.