Sentences with phrase «volatility over»

One fly in the ointment: The 10 - year Treasury yield, the benchmark for permanent, fixed - rate financing in commercial real estate, has breached 5 % and even showed some signs of volatility over the past month.
That, in addition to the increased market volatility over the past year, motivated the video game platform to move away from cryptocurrency - based payments.
The price of bitcoin also experienced some volatility over the last few days, a development that has served to further amplify ether's price swings, Tim Enneking, chairman of Crypto Currency Fund, told CoinDesk.
Bitcoin cash has faced extreme volatility over its short history as markets struggle to find what it's really worth.
Trading volatility over the past few months hasn't helped the rising voices of speculation.
The BTC / USD pair has seen an increase in volatility over the last several days.
You can visualize the price volatility over the past seven days and see why people think Bitcoin is risky; clearly the reward is paying off as the price has gone up $ 700 since the start of May.
What's causing rates to jump, and what accounts for the volatility over the years and across the country?
If he decides to pay a single premium, he is exposing himself to possible market volatility over the term of the policy.
In light of all this market volatility over the last few days, we wanted to remind you of the benefits of being a buy and hold... Read More
«The objective of the strategy,» Ms. Kong reports, «is to deliver 6 - 9 % return with 6 - 9 % volatility over the long term.»
Financial markets from stocks, to bonds and interest rates, to currencies are all seeing an increase in volatility over the last couple of weeks.
Merging the world of high - finance and high - art Artemis Capital Management LLC is proud to present a creative visualization of stock market volatility over the last two decades.
Wish I could have gotten option implied volatility over the same period, but I got nearly the last two years here, by using the CurrencyShares Yen ETF:
The survey does, however, indicate that Americans are becoming less concerned about volatility over the last few years.
So if we may need to sell that investment in the next 3 months (the short term), we should probably not invest in a stock fund which has a relatively high rate of volatility over that time period but invest instead in a CD or a money market fund which have relatively lower volatility.
Provides exposure to the growth potential of developed market companies while explicitly seeking to: Reduce volatility over a market cycle Diversify exposure across international countries Reduce concentration in dominant currencies
The underlying principle is that different classes of investments have shown different rates of return and levels of price volatility over time.
By securing long - term, fixed rate debt today, the Growth eREIT is able to maximize consistent cash - flow while also reducing volatility over the term of the investment.
High betas may mean price volatility over the near term, but they don't always rule out long - term opportunities.
After seeing heightened volatility over the previous quarter, April saw volatility decline as the US dollar continued to strengthen against all major currencies.
For equities, two simple factors are required, but they beat the market by 2 % / year with 70 % of the equity volatility over 130 years.
As shown in the chart below, this kind of volatility over such a long period has only occurred a couple of times in the history of the index.
The PowerShares Low Volatility S&P 500 portfolio includes holdings that exhibit the lowest realized volatility over the last 12 months.
With volatility over the last two years at record lows traders have been itching to trade something that really moves.
* The Fund's systematic, rules - based approach seeks to target up to 15 % reduced volatility over a complete market cycle at an expense ratio of 0.29 %.
How did your investments perform through the relative volatility over the past few weeks?
Then again, markets have shown so little volatility over the past couple of years that one gets the chance that some journalists were almost hoping volatility would return — if only so that they could write something salacious for a change.
Life would be best for them if a mutual financial company gave them smooth returns 0n a regular basis, and absorbed all of the market volatility over a market cycle.
They boast of being market - neutral, but often don't come close... Sure, portfolio shorts should dampen volatility over time, but the way some hedge funds go about it, they seem to end up increasing their leverage!
Designed to provide equity exposure to global small cap markets with potentially less volatility over a complete market cycle than traditional capitalization - weighted indices
Designed to provide equity exposure to developed markets (ex-US) with potentially less volatility over a complete market cycle than traditional capitalization - weighted indices
Finally, we select portfolio investments that match their risk tolerance and long - term goals from assets that we monitor closely and believe will provide high value and low volatility over time.
For both, we calculate VoV as the standard deviation of volatility over the past 21 trading days and test the ability of VoV to predict SPDR S&P 500 (SPY) returns.
Simply find the 100 stocks with the lowest volatility over the last 12 months and buy them.
The fund consists of 100 holdings which have had the lowest volatility over the past 12 months.
Investing in Dividend Aristocrats is a proven strategy that typically outperforms the S&P 500 and has lower volatility over the long - term.
Download Here Examining the Current Low Volatility Environment With all of the volatile political events happening domestically and internationally, the low market volatility over the past few years has -LSB-...]
There is very little volatility over this length of time and hence our risk is extremely low:
So, might there be a secular explanation for the shift higher in corporate earnings volatility over the last decade?
«We believe investing in a concentrated portfolio of companies with a history of predictable earnings and sustainable competitive advantages offers the potential for strong returns with lower volatility over the long term,» says Matthew Landy, portfolio manager of the Lazard Equity Franchise Portfolio.
The U.S. market has seen its fair share of volatility over the years.
Volatility based risk adjustments are done based on daily volatility over the past 3 calendar months.
ed on its realized volatility over the past year is likely to continue to rank low or high for the volatility exhibited in the next three months.
To construct a low volatility factor portfolio, it is common to select securities that had low realized volatility over a pre-specified period and hold the portfolio for the subsequent n months.
In Exhibit 2, we show the rolling correlation, where at each time point the correlation is calculated between the realized volatility over the past year and the realized volatility over the next three months for all the preferred stocks in the universe as of each quarterly rebalance date.
The strategy is designed to contribute to higher performance and lower volatility over time.
Each personalized client portfolio is developed from a set of assets that we monitor closely and believe will provide high value and low volatility over time.
In light of all this market volatility over the last few days, we wanted to remind you of the benefits of being a buy and hold investor.
Using a custom excel spreadsheet containing price data for the current Dividend Champions, I began by calculating the historical volatility over the past 63, 126, and 252 trading days of each Dividend Champion.
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