Sentences with phrase «when equity market volatility»

However, when equity market volatility increases to a point that makes us uncomfortable, it is often this stable part of our portfolio that quells the inclination to make rash decisions, allowing us to stick with our asset allocations when times get tough.

Not exact matches

James Barty, European equity strategist at Bank of America Merrill Lynch, discusses investor strategies when it comes to China's market volatility.
Though, when you take a closer look at recent equity performance in May, each year there has been some volatility in the markets during May and the overall gains have been only marginal.
Volatility soared when the United Kingdom voted to exit the European Union (EU), with the VIX index of U.S. equity market volatility spiking to near 2016 highs, as Bloomberg dVolatility soared when the United Kingdom voted to exit the European Union (EU), with the VIX index of U.S. equity market volatility spiking to near 2016 highs, as Bloomberg dvolatility spiking to near 2016 highs, as Bloomberg data shows.
While some observers will point to recent equity market volatility as a sign that investors should remain defensive when selecting stocks in the region, Philippe Brugere - Trelat, executive vice president and portfolio manager, Franklin Mutual Series ®, says he's encouraged by recent developments.
Low - volatility equities Lower - volatility stock strategies typically experience less dramatic price changes when the market goes down since fund managers aim for benchmark returns with considerably less risk.
Much like our Asian equity ETF example above, the ETF didn't increase the volatility of the local market, it just showed you where that market was valued even when it was closed.
Keep in mind these statistics include the 2008 period, when global equity markets suffered extreme volatility.
In a note on how to profit from a return to volatility, Mike Clements, head of European Equities at SYZ Asset Management, writes that violent markets enable stock pickers to uncover value when the tide of sentiment draws out.»
However, investors should not be concerned about high multiples because when volatility is low, equity markets are much less likely to decline.
The strategy aims to sell assets when their risk - adjusted expected return is falling (rising market volatility) and buying equities when their risk - adjusted expected return is rising (falling market volatility) to provide better risk - adjusted portfolio returns and to account for investor's risk tolerance.
Equity and currency market volatility is helping to drive cash inflows for municipal bond funds and when combined with manageable new issue supply has helped foster a stronger muni bond market.
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.
This transfer stops in the last 2 policy years when the funds are switched back from the equity fund to the debt fund to protect the fund from market volatility
«You will be compensated with high potential returns for taking those risks now,» he said, pointing to three - to - 10 years ahead when cryptocurrencies will be a «more established asset class,» at which time volatility will be more akin to what's normal in the equity and bond markets, with higher upside potential.
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