
Analyses
La météo des marchés par Vivienne Investissement
Le VI@Risk® est une mesure avancée du risque de marché couvrant l’ensemble des classes d’actifs.
Le VI@Risk® est une mesure avancée du risque de marché couvrant l’ensemble des classes d’actifs.
The comparison drawn between the current U.S. President and Ronald Reagan ignores vast structural differences in the US and Global economies compared with the 1980s, says Aron Pataki, portfolio manager of the Real Return team.
Defensive equities are showing good value again following a strong cyclical surge in the past six months, says Nick Clay, portfolio manager of BNY Mellon Global Equity Income Fund.
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