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Assessing Fair Value

Since mid-January risk markets have experienced elevated volatility and weakness due to fears of the Fed’s tightening policy. Market segments with the highest valuations and most perceived sensitivity to rates have suffered the worst, as many investors took gains after a sustained post-pandemic run. While it is important to not overreact to short-term swings, it’s also important to assess possible downside moves from here based on both technicals and fundamentals. 

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European Bank Valuations are at a 33-year Low

With European bank valuations at a 33-year low, let's examine why this may be this best time to invest with the right strategy.

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