Just as a diverse financial portfolio protects investors from
volatile economic markets, a diverse electricity portfolio can protect ratepayers from the risks inherent in relying too heavily on a few resources to meet electricity demand.
Not exact matches
The Fed lifted rates from near zero last December — the first rate hike in nearly a decade — but has since stood pat given an
economic slump at home and
volatile markets overseas.
During the quarter, global
economic uncertainty intensified, resulting in
volatile markets and significantly wider credit spreads.»
For example, their prices are more
volatile,
economic downturns and financial setbacks may affect their prices more negatively, and their trading
market may be more limited.
But for most investors, bonds offer a solid bulwark during times of tentative
economic growth and
volatile equity
markets.
Generally, among asset classes, stocks are more
volatile than bonds or short - term instruments and can decline significantly in response to adverse issuer, political, regulatory,
market, or
economic developments.
Foreign
markets can be more
volatile than U.S.
markets due to increased risks of adverse issuer, political,
market or
economic developments, all of which are magnified in emerging
markets.
Deal value suffered from a troublesome combination of weakening
economic conditions, stubbornly high asset prices and
volatile public - offering
markets, which discouraged pre-IPO deals.
However, Limited Partners assume risk when investing in this asset class, especially when considering that today's
volatile stock
markets and the global
economic environment can influence exit options and exit values for their investments.
Stock
markets are
volatile and can decline significantly in response to adverse issuer, political, regulatory,
market,
economic or other developments.
Markets remain
volatile, global
economic weakness continues to persist and, of course, China has shown great signs of a weakening economy over the past several months.
Volatile market conditions and global
economic uncertainty persisted in Q4 2015; however, Canadian pension plans finished the year in positive territory...
It is an indispensable tool profiling the state of the
market and how investor demographics, preferences and behaviors have changed in a world
economic environment where
markets are
volatile and uncertainty prevails.
2016.02.18 Canadian Pensions» assets rebound in Q4, ending 2015 in the black: RBC Investor & Treasury Services
Volatile market conditions and global
economic uncertainty persisted in Q4 2015; however, Canadian pension plans finished the year in positive territory...
Through
volatile markets it's important to take a long - term perspective and remember that
market returns are driven by
economic and earnings growth over time, and both appear positive, in our view.
There are other bonuses that 2options provides its many investors also such as
economic event bonuses to help a trader limit risk when the
market is
volatile and personal bonuses which are given when a relationship has been established with a 2option's account manager.
As a result many are turning to alternative
markets, such as foreign exchange currency trading — forex — for the opportunity to make the most of
volatile economic conditions.
Forex
markets can be very
volatile, particularly emerging
market currencies, but even the major pairs can move dramatically on a central bank policy change, a political event, or on significant
economic news.
Jerome Powell, the new chair of the US Federal Reserve, took office in early February under a spotlight as global
markets study his leadership in the more
volatile, inflationary and protectionist
economic environment.
The
market tends to get very
volatile when things such as, the NFP, interest rate decisions and other
economic and political events are happening.
Foreign investments can be riskier and more
volatile than U.S. investments due to the adverse effects of currency exchange rates, differences in
market structure and liquidity, as well as political and
economic developments in foreign countries and regions (e.g., «Brexit»).
Mr. Fuleihan said in the email, «We are preparing this year's executive budget in the midst of
economic and fiscal uncertainty,» citing
volatile stock
markets and slowing economies around the world.
In today's
volatile economic marketplace, you especially want to make smart
marketing investments.
Some other options to consider might be plans for continuing education, how
volatile your career is during changing
economic conditions, family planning, as well as your need to take on
market risks due to other income sources such as pensions.
«Given that this segment of the
market is typically the first to soften in
volatile economic times, it's surprising that the strength of the high - end has continued,» says Cohen.
But I'd be wary of venturing, as some investors seeking higher yields do, into high - yield, or junk, bond funds, as they're generally more
volatile than investment - grade funds and don't hold up as well in periods of
economic and
market stress.
While speculation is typically driven by
economic, global and
market effects, price action is sometimes
volatile, and significant adjustments in currency value can take place quickly.
The stock
market tends to have
volatile performances in times of any
economic uncertainties, but that is why it is a good barometer for the economy.
Given its heavy
economic calendar, we expect that yesterday will end up being the most
volatile day of the week in the equity index
markets, and as we head into the end of this week, we anticipate
Stock
markets, especially foreign
markets, are
volatile and can decline significantly in response to adverse issuer, political, regulatory,
market, or
economic developments.
Stock
markets around the world were
volatile due the uncertainty of Euro
economic situation — Brexit, but my dividend portfolio did pretty well compare and ended with gain.
Dividend stocks have a reputation for being less vulnerable to downturns in the stock
market, and their mature businesses also tend to be more resistant to recessions and other
economic headwinds that can send more
volatile high - growth stocks to much larger losses.
Emerging and foreign
market investments can be more
volatile than U.S. securities and will expose the Fund to adverse changes in foreign
economic, political, regulatory and currency exchange rates.
Emerging
Markets, which consist of countries or markets with low to middle income economics can be subject to greater social, economic, regulatory and political uncertainties and can be extremely vo
Markets, which consist of countries or
markets with low to middle income economics can be subject to greater social, economic, regulatory and political uncertainties and can be extremely vo
markets with low to middle income economics can be subject to greater social,
economic, regulatory and political uncertainties and can be extremely
volatile.
There are other bonuses that 2options provides its many investors also such as
economic event bonuses to help a trader limit risk when the
market is
volatile and personal bonuses which are given when a relationship has been established with a 2option's account manager.
Economic and earnings reports could help to produce
volatile swings in the
markets but should not be enough to change the trend to down at this time.
With possible liftoff this December,
markets are more responsive (i.e.,
volatile) to every
economic release — and investors are carefully parsing every statement from Fed Chair Janet Yellen.
The temporarily increased FHA loan limits are part of the
Economic Stimulus ACT of 2008 and are believed to help provide liquidity and stability in the
volatile housing
market in the US.
Foreign
markets can be more
volatile than U.S.
markets due to increased risks of adverse issuer, political,
market, or
economic developments.
Foreign investments can be riskier and more
volatile than U.S. investments due to the adverse effects of currency exchange rates, differences in
market structure and liquidity, as well as political and
economic developments in foreign countries and regions (e.g., «Brexit»).
Stock
markets can be
volatile, and stock values fluctuate in response to the asset levels of individual companies and in response to general U.S. and international
market and
economic conditions.
Stock
markets are
volatile and can decline significantly in response to adverse issuer, political, regulatory,
market, or
economic developments.
Changes in prices because of
market differences, political changes, natural calamities, diplomatic changes or
economic conflicts may cause
volatile foreign investment conditions that may expose businesses and individuals to foreign investment risk.
Investing in foreign securities involves additional risks relating to political, social, and
economic developments abroad; differences between the regulations that apply to U.S. and foreign issuers and
markets; the potential for foreign
markets to be less liquid and more
volatile than U.S.
markets; and currency risk associated with securities that trade or are denominated in currencies other than the U.S. dollar.
During periods of
economic uncertainty and change, the
market price of the Fund's investments in below investment grade securities may be particularly
volatile.
The
market value of these securities is more sensitive to corporate developments and
economic conditions and can be
volatile.
Invest in
volatile uncorrelated assets that cover every
economic condition, and you'll do pretty well with limited downside no matter what happens in the
markets.
Foreign
markets can be more
volatile than U.S.
markets due to increased risks of adverse issuer, political,
market or
economic developments, all of which are magnified in emerging
markets.
Stock
markets, especially foreign
markets, are
volatile and can decline significantly in response to adverse issuer, political, regulatory,
market, or
economic developments, all of which are magnified in emerging
markets.
Stock
markets are
volatile and can fluctuate significantly in response to company, industry, political, regulatory,
market, or
economic developments.