home / stock / cif / cif news


CIF News and Press, MFS Intermediate High Income Fund From 11/02/21

Stock Information

Company Name: MFS Intermediate High Income Fund
Stock Symbol: CIF
Market: NYSE

Menu

CIF CIF Quote CIF Short CIF News CIF Articles CIF Message Board
Get CIF Alerts

News, Short Squeeze, Breakout and More Instantly...

CIF - Major Asset Classes: October 2021 Performance Review

US real estate investment trusts (REITs) and stocks posted the strongest returns for the major asset classes in October - by wide margins. US REITs surged 7.7% last month, reversing September’s sharp decline. The recovery puts American property shares in the lead for 2021 with ...

CIF - Weekly Closed-End Fund Roundup: October 3, 2021

2 out of 23 CEF sectors positive on price and 2 out of 23 sectors positive on NAV last week. MLPs lead while convertibles lag. Asia equity is the highest-yielding CEF sector. For further details see: Weekly Closed-End Fund Roundup: October 3, 2021

CIF - Weekly Closed-End Fund Roundup: Sept. 26, 2021

Three out of 23 CEF sectors positive on price and six out of 23 sectors positive on NAV last week. GOF/GGM/GPM merger has been approved. RIV announces a new rights offering. For further details see: Weekly Closed-End Fund Roundup: Sept. 26, 2021

CIF - Major Asset Classes: September 2021 Risk Profile

Risk-adjusted performance continued to rise in September for the Global Market Index (GMI), an unmanaged, market-value-weighted portfolio that holds all the major asset classes (except cash). GMI’s 0.97 Sharpe ratio is close to the highest levels reached in recent history. ...

CIF - Risk Premia Forecasts: Major Asset Classes | 4 October 2021

Global Market Index is useful as a starting point for research on asset allocation and portfolio design. Predictions for the market components are subject to greater uncertainty compared with aggregating forecasts, a process that may cancel out some of the errors through time. Com...

CIF - Major Asset Classes: September 2021 Performance Review

Global markets suffered their broadest retreat in a year during September. The bullish exception: commodities, which delivered a solid gain last month. Notably, US stocks and bonds lost ground, giving support to concerns that the historical diversification benefits of pairing the two ...

CIF - The Great Fixed Income Challenge: Balancing Yield And Risk In A Low-Rate World

How to achieve a respectable income without taking on too much risk. What's the right risk/yield trade-off for reasonable income? Will '80s-style inflation return? For further details see: The Great Fixed Income Challenge: Balancing Yield And Risk In A Low-Rate World

CIF - High Yield Bonds In View: The Impact Of Inflation

What sets the current environment apart is the broad-based nature of input-cost inflation, spanning raw materials, logistics/transportation, and labor, as well as shortages of intermediate goods such as semiconductors. Companies are leaning heavily on pricing, in addition to productiv...

CIF - Major Asset Classes | August 2021 | Risk Profile

Risk-adjusted performance continued to rise in August for the Global Market Index. Sharpe ratios in global markets generally are elevated. GMI represents a theoretical benchmark for the “optimal” portfolio. For further details see: Major Asset Classes | Aug...

CIF - Risk Premia Forecasts: Major Asset Classes - 2 September 2021

The expected risk premium for the Global Market (GMI) ticked up in August, reaching an annualized 6.1%, slightly above the previous month’s estimate. Despite the comparatively high GMI forecast, the current estimate remains well below the index’s realized risk premium fo...

Previous 10 Next 10