Portfolios

A European index in our Watchlist – 17/11/17

…The banking sector is also no longer a locomotive for several months due to the yield curve which remains unfavorable…

Cet article est réservé aux membres...
Posted by christophe in Buy, Sell, Watchlist, Portfolios

An ETF dedicated to Oil in our Watchlist – 15/11/17

The rhetoric mounted a notch, with the detention of the Lebanese president in Saudi Arabia and growing confusion in the kingdom…

Cet article est réservé aux membres...
Posted by christophe in Buy, Sell, Watchlist, Portfolios

Asset Allocation Strategy : 13/11/2017

A week of consolidation for Equities and Bonds.

There is no general correction at this point even though the subclass analyzes of Assets need to be refined.

Our Krach indicator remains in the low risk zone, at 30.6 points, even though it has deteriorated slightly compared to the previous week (26 points).

Lire
Posted by christophe in Market Analysis, Portfolios

Our Market Analysis : 11/11/2017

A week of marked consolidation on the European markets, as Stoxx600NR fell by 1.82%, and sharp declines of about 2.5% for the CAC40 and the DAX30.

At the same time, the US indexes held up better with a slight decline of c.0.2% for the S & P500 and the Nasdaq Composite which seems to points for a US capital flight back to the domestic market.

Lire
Posted by christophe in Market Analysis, Portfolios