Sentences with phrase «with greater volatility»

Small cap companies in these markets may react with greater volatility in reaction to activities in those markets.
Reinsurers mirror the hard and soft P&C markets globally, but with greater volatility.
This is because small - capitalization stocks outperform large capitalization stocks generally over time, though with greater volatility, which is why the allocation is not larger.
As the market picks up, STWD follows accordingly with some great volatility.
However, within each half of the record there is great decadal variability, up and down within that range, with the greatest volatility clearly in the earlier half of the record, with the dip and recovery around 1690 and similar features during the early part of the 16th century and the start of the 17th century.
If you are any kind of veteran investor, you know that the most important way to navigate the cryptocurrency market is to get behind the best appropriations of blockchain technology — and not the coins with the greatest volatility.

Not exact matches

Amid the worst market volatility since the Great Recession, it's fallen in value along with stocks and bonds.
«Research indicates that companies with more women in senior management have higher returns on capital, lower volatility, greater client focus, increased innovation and greater long - term orientation,» Krawcheck says on the webiste promoting the funds.
Today's financial market volatility, combined with great political uncertainty both at home and abroad, will undoubtedly have an effect on consumer confidence and perhaps even our customers» attitudes and behavior.
One study by economist Elaine McCrate found that any reduction in wages associated with the benefit of flexibility is modest at best and, in fact, many jobs with greater flexibility have higher wages.137 Furthermore, the volatility of earnings for many independent contractors would offset any compensating wage differentials, because workers can not compare the value of flexibility to higher earnings when they aren't able to predict their earnings as independent contractors.138
For example, if you're early on in your career, most of your money will be held in growth oriented stocks with a small percentage in bonds, and as you mature, your assets will slowly shift to more stable stocks and a greater percentage in bonds to help reduce volatility.
Not exactly a great combination — lower returns with more than 50 % greater volatility.
Indeed, there is still a great deal of complacency on the sentiment side, with only about 30 % of investment advisors bearish and the CBOE volatility index not even reaching 28.
With equity returns likely to moderate and volatility set to rise, investors face a difficult choice: Accept lower returns, or take on greater risk.
ETPs that target a small universe of securities, such as a specific region or market sector, are generally subject to greater market volatility, as well as to the specific risks associated with that sector, region, or other focus.
With a combination of these diversified strategies, a flexible active approach aims to find fixed income return opportunities in all corners of the market, even during times of greater volatility or rising interest rates.
After almost a decade of slow growth, we may finally be returning to what one might call «the old normal»: faster economic growth coming together with the return of increasing costs, inflation, rising interest rates, and greater volatility.
Therefore, bonds with higher duration generally have greater price volatility and the potential for losses when rates rise.
Retail securities tend to track the market as a whole but with a greater degree of volatility, resulting in stronger gains during bull markets but larger losses during bear markets.
Do strategies that seek to exploit return volatility persistence by adjusting stock market exposure inversely with recent market volatility relative to some target (including exposures greater than 100 %) produce obvious benefits for investors?
So on dips with decent spikes in volatility like we had in October and mid-December provided great opportunities to sell puts pretty far out of the money in the SPY ETF.
Given all the algorithmic strategies that proliferated due to low volatility, we fear it might come sooner than later, and with greater violence than most anticipate.
We regard the greater stability in commodity prices, along with a lessening of volatility in financial markets, as welcome, and believe it should provide a more stable platform for the global economy, where growth remains acceptable, if lower than desirable.
The figure also suggests that, with some modest volatility, the mortgage risk premium has remained near 1.60 percentage points since the late 1980s, except for a noticeable increase during the Great Recession.
This separately managed account seeks long - term growth of capital and dividend income greater than the S&P 500 ® Index, with the potential for less volatility than the U.S. stock market.
Greater transparency, coupled with quantitative easing measures from central banks around the world, contributed to this low volatility.
With all that said, some players view this volatility as a great opportunity.
It's a great, socially responsible, growth oriented stock fund with top notch returns and moderate volatility.
As we discussed last week with Paul Murphy, CEO of energy lending specialist Cadence Bancorp (NASDAQ: CADE), prices for natural gas are unlikely to see great upward volatility any time soon.
But it notes that there was «celebration» about the «great moderation» in macroeconomic volatility, with only a few people worrying about whether complacency about financial risks in that environment might threaten it.
This is because such instances present excellent opportunities to exploit the greater levels of volatility associated with commodity training.
A portfolio with a beta of greater than 1 would generally see its share price rise or fall by more than the market, while a portfolio with a beta of less than 1 would have less share price volatility than the market.
He said: «We are now seeing the benefits of our focus on managing volatility in the business, with more favourable contract agreements, a closer pricing alignment between our sales book and the spot market, and targeting sales of products that deliver greater value.»
«Students and their teachers are bracing themselves for greater volatility in this year's results, particularly at AS level with the first students sitting exams under a new curriculum this year.
Coming from a background analysing non-equity funds with much lower volatility, someone who can outperform an equity index with significantly less vol appeals much more than the same outperformance but with greater than index volatility.
The point is that, when including the G Fund, duration can be increased in the bond portfolio for a greater expected return yet with similar volatility.
These risks may pose risks different from, or greater than, those associated with a direct investment in the securities underlying the funds» benchmarks, can increase volatility, and may dramatically decrease performance.
The offering of the new ETFs has closed, and they will begin trading on the Toronto Stock Exchange today: BMO Low Volatility International Equity Hedged to CAD ETF (Ticker: ZLD): This ETF is designed for investors looking to invest in international equities with greater downside protection than market capitalization weighted products.
ETPs that target a small universe of securities, such as a specific region or market sector are generally subject to greater market volatility as well as the specific risks associated with that sector, region or other focus.
In general, higher - risk funds allow for greater returns, while lower - risk funds typically have lower returns but with much less volatility.
There really is no clear - cut winner here; however, as one moves from U.S. to global to international: (1) There tends to be greater volatility in the price of the chosen investment vehicle, and (2) There tends to be higher dividend payments for the greater risk associated with foreign stocks in your mix.
While returns are important, knowing an optimal asset mix and having an investment strategy in place will allow one to weather the market's volatility with greater comfort.
That's why discipline and patience are mentioned so often because, with volatility, time is a great cure.
Bearing the excesses of maturity risk or credit risk over time can yield great returns, but few can live with the volatility.
Seeks to deliver long - term growth of capital over a full market cycle and dividend income greater than the S&P 500 ® Index, with the potential for less volatility than the U.S. stock market
With equity returns likely to moderate and volatility set to rise, investors face a difficult choice: Accept lower returns, or take on greater risk.
Economic stability has generally been associated with high multiples while greater amounts of volatility in economic data have coincided with low multiples.
This gives the cash account in VUL policies the potential for greater returns than a typical whole life policy by investing in equity - linked investments, but also makes them subject to greater risk due to the volatility associated with the stock market.
This could be great too as Jean - Coutu owns a generic drug brand and manufacture but... I think that in Ontario or another province, they recently forbid pharmacists to also be owners of drug manufactures... So time will tell but I expect a lot of volatility with that title for a while.
Both of these investments are great options which allow for volatility in the market with continual upside growth in your retirement account.
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