Equity Strategy: Eurozone delivering on an improving risk-reward; Sector/style trading around the first ECB cut
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Equity Strategy: Eurozone delivering on an improving risk-reward; Sector/style trading around the first ECB cut

2024-04-29
Speaker: Mislav Matejka, CFA, Global Head of Equity Strategy At the overall market level, we remain concerned about the repeat of last summer’s drawdown, inflation staying too hot is a real possibility, market will not like it if bond yields move above 5%. Within this, we have made some regional changes in Q1, specifically we tactically closed our longstanding China bearish view, given 30%+ drawdown in the past 12 months. Also, we have upgraded Eurozone equities last quarter. To be clear, we don’t exp...
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