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By Erik Knutzen, Chief Investment Officer - Multi-Asset Class Our geopolitical risk focus turns to Europe - and trade conflict with the U.S. looms largest. When I talk with clients I get asked a lot about the key political or geopolitical risks that asset allocators should look out for...
On the latest edition of Market Week in Review, U.S. Institutional Senior Director Rob Cittadini and Senior Investment Strategist Paul Eitelman discuss recent economic data from China, the Brexit deadline extension, and the contrasting impact on global equity and fixed-income markets. C...
Recently, a change in the measurement of one subcomponent in Europe's key inflation gauge prompted a significant recalculation in the entire index. Investors in euro area inflation-related assets now find themselves in a more uncertain environment. We believe an active, flexible portfolio appr...
Posted by Kristina Hooper, Chief Global Market Strategist on April 8, 2019, in Market & Economic Weekly Market Compass: Brexit, the ECB and the eurozone economy were the main topics of conversation Last week, I had the pleasure of traveling in Europe, meeting with colleag...
Of all of the troubles, the problems, the "Risks" that abound in the markets, the global dangers, the biggest, by far, are now in Europe. You can talk about China, the raucous behavior between the Democrats and the Republicans in the United States, the backflip of the Fed, pick any subject tha...
(I am in Mexico at the World Trade Center General Assembly, participating on a panel about USMCA--NAFTA2.0--for which approval remains elusive. It is possible that the US threatens to pull out of NAFTA 1.0 to force action by the US Congress. Mexico is due to pass legislation this week that ma...
By Johannes Eugster, Economist, Multilateral Surveillance Division, IMF Research Department; Florence Jaumotte, Deputy Division Chief, IMF's Research Department; Margaux MacDonald, Economist, Research Department of the IMF; and Roberto Piazza, Economist, Multilateral Surveillance Division, IM...
By Jeremy Schwartz, CFA Last week on the "Behind the Markets" podcast, Professor Jeremy Siegel from The Wharton School at the University of Pennsylvania and I had the pleasure of speaking with Dr. Diego Rodriguez-Palenzuela, who heads the European Central Bank's (ECB) business analysis div...
When an inestimable amount of "Risk" is staring at you, hard in the face, then it is time to back up from the "Danger Zone." That is how I play the Great Game, to respect Grant's first through tenth Rule, which is "Preservation of Capital." It is the identification of the "Risk," which is impo...
By CME Group Editor's Note: The summary bullets for this article were chosen by Seeking Alpha Read more ...