Lastly, if geopolitical tensions are genuinely easing in Ukraine, why are European ETFs still underperforming other
regional stock assets?
Not exact matches
The team has a centralized
asset allocation function in London, with
stock analysts based in
regional offices around the world.
Not only have we seen increasing
regional differences, but
stock picking has also become more difficult as the money injected into the markets by central banks has lifted pretty much everything, regardless of valuation and the future potential of the
asset.
If done so,
assets like
stocks, fiat currencies, bonds, commodities and all other
asset classes from
regional economies will become tokenized.