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When we make investment decisions about assets with multi-decade horizons, our forecasts will ultimately break down. There are multiple, equally valid pathways through the transition, all with different technology mixes and varied time horizons. Social factors may drive higher emi...
Discounts have been widening in the CEF space as volatility has been kicking up. The widening discounts have been creating more opportunities, but headwinds exist. We screen for several different metrics that bring up funds worth exploring further. For further details see: ...
The expected risk premium continued sliding in April for the Global Markets Index (GMI). Tuesday’s revision reflects a drop to a 5.4% annualized increase for the long term – a relatively large cut of 40 basis points from last month’s estimate. The forecast ref...
Corporate ESG ratings do not necessarily measure a company’s impact on the Earth and society. There are no current industry or regulator standards for algorithms, metrics, data sources or results. By its nature, ESG assessment requires a forward-looking approach that static...
Sweeping sanctions placed on Russia's currency and Russian companies have rippled through all asset classes, affecting portfolios across the globe—including those with an allocation to foreign exchange markets. What if ESG factors had been taken more into consideration in the w...
Increasingly, today’s fixed-income market presents unique opportunities for responsible investing in the form of environmental, social, and governance labeled bonds. Unfortunately, as demand surges for responsible investing choices and the market for ESG-labeled bonds balloons,...
Transitioning to a net-zero carbon economy is vitally important, and corporate bonds will play a critical role in the transition. To support that journey, sustainable investors should monitor the carbon impact of the corporate bonds in their portfolios. But there’s a lot mo...
The expected risk premium for the Global Market Index ticked slightly higher in March to an annualized 5.8% pace, fractionally above last month’s estimate. Using short-term momentum and medium-term mean-reversion market factors (defined below) to adjust the forecast trims GMI...
Morgan Stanley Emerging Markets Debt Fund (NYSE:MSD) declares $0.12/share quarterly dividend, -4% decrease from prior dividend of $0.13. Forward yield 6.23% Payable April 14; for shareholders of record March 31; ex-div March 30. See MSD Dividend Scorecard, Yield Chart, & Dividend Growth. ...
At AllianceBernstein, we feel like we have a differentiated way to approach ESG investing. We have a 360-degree view of analyzing ESG risks from all parts of a company or country's stakeholders. In 2016, the country came to market touting plans of increased transparency, strong govern...
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2024-06-23 07:54:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-06-01 16:36:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-04-03 09:56:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...