Mercados y Estrategia
Nuestros equipos ofrecen un informe despues de la cumbre Europea y del G20.
Intervienen:
Romain Boscher, Director de Gestión Renta Variable
Eric Brard, Responsable Global de Renta Fija
Philippe Ithurbide, Director de Análisis y Estrategia
Thierry Darmon, Deputy Head of Euro Fixed income and Credit
Eric Turjeman, Head of Equity Strategies - Paris
Cumbre G20 - 7 de noviembre de 2011:
Alternative content
O haga click en el siguiente link: http://meetingone.acrobat.com/uk0711111strategies/
Cumbre europeo - 27 de octubre de 2011:
Alternative content
O haga click en el siguiente link: http://meetingone.acrobat.com/uk2710110strategies/
Cumbre europeo - 24 de octubre de 2011:
Alternative content
O haga click en el siguiente link: http://meetingone.acrobat.com/uk2410111strategies/
Documento mensual que agrupa el conjunto de análisis y estrategias de Amundi sobre todas las clases de activos. Puede encontrar nuestras visiones organizadas por temáticas.
Índice del número de enero 2012:
- Debt crisis: a positive outcome in the eurozone is still possible
- Asset allocation in 2012: bringing risk back into portfolios?
- 2012 economic scenario: inflexion, elections, disinflation (and “reflation”): key words
- Monetary policy: maintaining low rates for at least two years
- Fixed-income markets: sovereigns being pulled both ways!
- Eurozone countries financing needs in 2012: troubles in sight
- Credit market: the European sovereign crisis is still the most important driver
- Investment Grade Corporate bonds: where to from 2011?
- Forex markets: the euro’s fate will play out in 2012
- Equity markets: asymmetric risks in 2012
- After the full defensive play of 2011, be ready to add a touch of emerging play for 2012
- Emerging equities to make a comeback in 2012
- Commodities in 2012: one year, two semesters!
Última edición:
-
Cross Asset Investment Strategy - January 2012 pdf I 939.64 ko
Archivos:
-
Cross Asset Investment Strategy - December 2011 pdf I 887.00 ko
-
Cross Asset Investment Strategy - November 2011 pdf I 880.47 ko
-
Cross Asset Investment Strategy - October 2011 pdf I 881.29 ko
-
Cross Asset Investment Strategy - September 2011 pdf I 1165.86 ko
September 2011
Global markets fell sharply in August on news of the unprecedented downgrade of the US sovereign debt. In Europe, the sovereign debt crisis has now shifted its attention to Italy, the third largest debt market in the world, and with high debt to GDP ratio close to 120% [...]
Última edición:
-
Asia Pacific Monthly Outlook - January 2012 pdf I 743.33 ko
Archivos:
-
Asia Pacific Monthly Outlook - December 2011 pdf I 711.69 ko
-
Asia Pacific Monthly Outlook - November 2011 pdf I 735.41 ko

