Sentences with phrase «more volatility overall»

Not exact matches

An above - average dividend yield (the MSCI Canada Energy Index is yielding an annualized dividend of 3.6 % versus 2.9 % on the overall MSCI Canada index, according to Bloomberg data as of July 31, 2017) and lower price volatility could make energy a more attractive sector for income - seeking investors in a low yield world.
Overall, we expect volatility to be ongoing throughout 2016, making it potentially a more difficult environment for investors.
Combined, these instances capture a cumulative 97 % loss in the S&P 500, but there's really not much difference based on the 200 - day moving average, except that the market tends to experience more violent declines and somewhat stronger rebounds (that is, higher overall volatility) when the S&P 500 is below that average.
So even if you're saving for a long - term goal, if you're more risk - averse you may want to consider a more balanced portfolio with some fixed income investments, And regardless of your time horizon and risk tolerance, even if you're pursuing the most aggressive asset allocation models you may want to consider including a fixed income component to help reduce the overall volatility of your portfolio.
As overall volatility in the markets continues, we expect currency volatility to increase and therefore become more difficult to predict.
We see the overall environment as positive for risk assets, but expect more muted returns and higher volatility than in 2017.
There is probably more volatility to come, but overall our view is that most of it is fully represented in market pricing.
More flexible approaches to fixed income investing can make more sense, offering higher yield potential and meaningful diversification while at the same time seeking to reduce overall volatilMore flexible approaches to fixed income investing can make more sense, offering higher yield potential and meaningful diversification while at the same time seeking to reduce overall volatilmore sense, offering higher yield potential and meaningful diversification while at the same time seeking to reduce overall volatility.
And perhaps more importantly, some hedged international bond exposure can potentially reduce a portfolio's overall volatility amid rocky markets.
More flexible approaches to fixed income investing can make more sense, offering higher yield potential and meaningful diversification while at the same time seeking to reduce overall volatilMore flexible approaches to fixed income investing can make more sense, offering higher yield potential and meaningful diversification while at the same time seeking to reduce overall volatilmore sense, offering higher yield potential and meaningful diversification while at the same time seeking to reduce overall volatility.
Overall, we expect volatility to be ongoing throughout 2016, making it potentially a more difficult environment for investors.
Diversifying its assets across multiple asset categories, including dividend - paying stocks, bonds and convertible securities, may help reduce the fund's overall portfolio volatility and improve chances of earning more consistent returns over the long term.
These gaps between price and value get all the more prevalent in years where the overall market experiences volatility — which is one reason why as value investors, we root for volatility — it provides us with opportunity.
If you have not considered adding managed futures to the overall assets of the family office, now may be an opportune time to learn more about this alternative asset class that can potentially decrease volatility in a well balanced portfolio.
And perhaps more importantly, some hedged international bond exposure can potentially reduce a portfolio's overall volatility amid rocky markets.
Overall, Forrest said the prospect of more volatility is not something investors should fear as it creates more opportunities.
This overall environment is positive for risk assets, in our view, but we expect more muted returns and higher volatility than in 2017.
I point out that valuations in emerging markets are more attractive and that, long term, foreign stocks reduce overall portfolio volatility.
The core of our investment philosophy is that excessive returns are rarely realized, and therefore should be traded for the opportunity to generate more stable returns, protect against some market declines, and reduce overall portfolio volatility.
Otherwise, rebalancing DRAGS down the overall return much more than it reduces volatility, especially over longer time periods.
More volatility in search of better overall returns is what investors need.
As long as some portion of an investor's portfolio is in foreign stocks, evidence suggests that those stocks should not be currency - hedged for three reasons: (1) Currency unhedged portfolios are not much more volatile than currency - hedged ones (and less volatile for US markets) and (2) Currency hedging appears to add about 1 % extra cost and (3) Some currency unhedged positions reduce overall portfolio volatility.
The premium is up $ 0.45 since then, which I see as a decent change in less than an hour and a half, but irrelevant for my trade overall since the option has two months to go before expiration and will face a lot more volatility before I'm out of it.
Not many stocks can offer index beating total returns with lower overall market volatility and it is worth noting that performance has been over a period of more than 20 years.
This should go up as the stocks the ETF owns go up; overall, this is (for non-dividend ETFs) more often the larger volatility both up and down.
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 investmVolatility 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 investmvolatility 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 investmvolatility funds, you can tailor a diversified portfolio based on your level of risk and investment goals.
Trading of derivatives like futures also serves to move volatility away from the underlying asset and ultimately causes prices to become more predictable overall.
Smith notes that Bitcoin market volatility is down and that «Despite the tight overall supply of coins, 16 million, increasingly velocity of transactions is leading to more liquidity, providing stabilizing effects to price.»
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