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Analysen 15.05.2017

Asian stocks extend gains as populist rhetoric grows less fashionable

Global equities hit a historic high in April on the back of strong US technology earnings, resilient Chinese economic data and evidence of a cyclical recovery in the Euro area.
Analysen 10.05.2017

Country risk allocation: a vital component in investment strategies

Country risk allocation in emerging markets investment strategies is a vital component, yet still largely underrepresented.

Analysen 01.05.2017

Bond markets: time to get out of the euro aggregate market

The economic scenario has rarely been so favourable to the credit market: the global economy is in a cyclical upturn, recessionary risks are more remote, and inflation remains contained, although still rising.

Analysen 25.04.2017

Emerging markets: back in favour despite the Trump risk

Thanks to improved economic conditions, emerging markets – whether bonds or equities – are once again piquing investor interest after several tough years.

Analysen 24.04.2017

French Elections - Results allow markets to re-focus on earnings

The apparent victories by Emmanuel Macron and Marine Le Pen in the first round of the French presidential elections should bring relief to markets and allow them to focus on the ongoing strength in the underlying European economy.

Analysen 20.04.2017

Anlage-perspektiven 2.Quartal 2017

Im zweiten Quartal dürfte das Wachstum seine gute Entwicklung fortsetzen, die auf den positiven Trend in den USA, die robuste Wirtschaftstätigkeit in Asien und die besseren Prognosen in der Eurozone zurückzuführen ist. Dank des festeren Gewerbes und des anziehenden Konsums sollte das Wachstum in den wichtigsten Regionen synchron verlaufen und nachhaltig ausfallen.

Analysen 18.04.2017

Political Capital and Economic Growth in Asia

Political capital and Economic growth in Asia less vulnerable if US reflation trade unwinds

Analysen 15.03.2017

Asia Stocks Extend Gains

February 2017 Market Review and Outlook: Asia stocks extend gains but begin questioning Trump policy details.


Analysen 07.03.2017

Oil market commentary

Brent crude oil is struggling to move beyond USD57/bl since its rally last November when it rose +USD10.10 per barrel.

Analysen 02.03.2017

Active management makes a comeback

Correlation between asset classes is falling towards normal levels. The recent rise in bond yields and monetary policy normalisation are causing much wider variations between asset classes in terms of their behaviour and returns. Now that these differences are reasserting themselves, active management is likely to outperform passive management.

Analysen 23.02.2017

The expected performance drivers for convertible bonds

From the fall in the oil price to Donald Trump’s victory via the shock of the UK’s decision to leave the European Union, 2016 confounded all predictions.

Analysen 22.02.2017

Trump’s Initial Policy Implications for Asian Equities

Since the US election, markets have pondered which of his campaign promises Trump would actually enact as President. Even before his “America First” inauguration address, the mercurial President had already fluctuated his views on foreign and domestic policies, but maintained an overall consistent message on manufacturing and trade.

Analysen 16.02.2017

Spotlight: China tightens modestly

What pitfalls and opportunities does this present?

Analysen 09.12.2016

Wachstum, Wahlen, Volatilität und Chancen

Ausblick für 2017

Analysen 09.11.2016

US Elections - Managing uncertainty via Alternatives

While a Trump presidency creates new uncertainty in the global economy and global markets, a strong economic backdrop in the US combined with near-term policy tools should be enough to keep US growth on track.

Analysen 04.10.2016

The Irony of Yuan Criticism and Where Investors Should Focus

In less than a week, China’s renminbi (RMB) went from being criticised during a US presidential debate to a new member of the International Monetary Fund (IMF) special drawing right (SDR).