Not exact matches
In its October review, the agency said the NPLs — comprising corporate, interbank and private loans — and the banking
sector's «exceptionally weak
asset quality [are] a key weakness for Cyprus's credit profile and [represent a]
material downside risk to the recovery.»
Under the new administration of Donald Trump the United States stock market should remain a must - own
asset class for diversifying beyond the three main
sectors of the domestic market: Energy,
materials and financials.
Peripheral European
assets and the global financials and
materials equity
sectors would be especially exposed, according to our stress - test analysis.
The industrial, consumer discretionary, IT,
materials and financial
sectors make up more than 80 % of the fund's $ 4.2 billion in
assets fed to its corresponding Master Fund.
Previously, he was with Deutsche
Asset & Wealth Management New York, from 2009 to 2011, researching U.S. and European stocks in the industrials and
materials sectors.