Portfolios

Our Market analysis: 10/03/2018

This week was marked by a great hesitation before the US markets finally decide to opt for the rise.

The week was marked by two major events, the first being the ratification by D.Trump protectionist measures on aluminum and steel that will ultimately affect mainly Europe and China, in the background of resignation of the chief economic adviser of President, Gary Kohn, Tax Plan Architect and supporter of free trade.

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Posted by christophe in Market Analysis, Portfolios

An african ETF in our Watchlist – 09/03/2018

Short Term strategy: Positive (90/100) / trend (=)

Long Term strategy:  Positive (95/100) / trend (=)

We include in our Watchlist the PAF ETF (Africa) proposed by Lyxor which is listed on Euronext in Euro and aims to replicate the SGI Pan Africa Index which aims to reflect the performance of listed companies in Africa or whose most of the activity is in Africa.

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Posted by christophe in Buy, Sell, Watchlist, Portfolios

An agricultural commodity in our ETF Watchlist – 07/03/2018

…and continue to benefit from the announcement of robust US sales late last week, with 835,000 tonnes sold…

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Posted by christophe in Buy, Sell, Watchlist, Portfolios

An Arbitrage in our Active Euro Portfolio – 05/03/2018

ETF out of our Euro Assets portfolio, setting up a cash line in the face of deteriorating markets…

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Posted by christophe in Buy, Sell, Watchlist, Portfolios

Our Asset allocation strategy: 04/03/2018

Our Crash indicator has increased to 47.6 / 100 now.

This level of indicator leads our Robot to increase the share of cash in its Asset Allocation (10%)…

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Posted by christophe in Market Analysis, Portfolios