CATEGORY: Asset-Allocation

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23.02.2016

Banks: buy in a tactical view, but not in a strategic view

European banks could be at this moment an investment opportunity But only in a tactical view or in other words as a short-term investment It's [...]

 
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18.02.2016

The ultimate crisis: which posture should investors adopt?

Many different factors together are creating a situation that is extremely prone to crisis Here an analysis of these factors and some suggestions how to [...]

 
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10.02.2016

Crude Oil: selling pressures are still important

Report from Yann Quelenn Market Strategist SwissQuote [...]

 
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08.02.2016

Markets collapse: a matter of three risks with the potential for a rebound

Fed China oil these are the three risks that precipitaded the makets since the beginning of They could stay for long but Benjamin Melman head [...]

 
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03.02.2016

Italian banks: from gold to kryptonite

In fear regarding asset quality high stock of NPLs regulatory scrutiny lack of disposals due to pricing differences as well as funding lack of progress [...]

 
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02.02.2016

Equities: reduce weightings into tactical bounce (analysts)

We take equities down to benchmark and reduce our year-end S P target to from having already reduced our equity weightings to the lowest since [...]

 
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01.02.2016

Technical analysis: key levels for gold and crude

Gold resurgence under scrutiny as it reaches the top of a multi-year wedge pattern Meanwhile both Brent and US crude continue to consolidate as we [...]

 
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22.01.2016

Markets rebound! Oil and Draghi pull equities off their lows  

Markets rebound Oil and Draghi pull equities off their lows   [...]

 
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Events


Semptember 2015
  • 28
    Mar

    Zielgruppe: Rechtsanwälte, Treuhänder, Richter, Staatsanwälte, Mitarbeiter von Banken, Versicheru

  • 28
    Mar

    CM-Equity Investment is very pleased to announce that they are able to win over the Head of Salahadd

  • 29
    Mar

    Private Client Tax Planning Strategies, Russia Tax Administration Anti Evasion Policy , Oecd And Eu

  • 29
    Mar

    MiFID II represents a fundamental change for financial markets across a range of areas, requiring no

  • 30
    Mar

    Alla fine del 2016 il Gruppo d’azione finanziaria (GAFI) ha pubblicato il quarto rapporto di valut

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