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UBS Investor Sentiment: Investor Optimism Drops on Inflation, Geopolitical Concerns

Optimism among high-net-worth investors dipped to early-pandemic levels on continuing concerns about the economic and market impact of inflation and the war in Ukraine,...

Inflation, Growth Concerns Take Over GCC Stock Markets

Today's market analysis on behalf of Daniel Takieddine, CEO of MENA BDSwiss. GCC stock markets were mostly decreasing following other international markets as investors’ concerns...

Frontier Markets Critical for Diversification, Research

Latest research with institutional investors and wealth managers across Europe who collectively manage over $520 billion in assets under management, identifies frontier markets as...

UAE Among World’s Top Markets with Highest Trust

CFA Institute, the global association of investment professionals, recently published Enhancing Investors’ Trust – the 2022 CFA Institute Investor Trust Study, the fifth in...

Oil & Gold in the Investor’s Spotlight in 2022

Not only commodities markets but also the derived financial and capital markets are undergoing a wave of revived interest by both long-term investors and...

The Fastest Growth in Decades: Investors Top-up Portfolios – But in...

The time is now for investors to top up their portfolios – in both value and growth stocks – ahead of a stronger than...

Biden Victory Heralds Boom Time for ESG Investing – Here’s Why

Joe Biden’s administration will usher in an unprecedented boom for Environmental, Social and Governance (ESG) investments, affirms the CEO of one of the world’s...

Redefining The GCC Economic Future

Emerging signs of economic diversification into future-proof sectors bode well for GCC economies and MENA investors long-term. The long-term outlook for MENA based investors looks...

Equity Markets Continue Upward Trajectory on The Back of Improving Macroeconomic...

Global equities recorded a strong performance in the week on the back of better than expected economic data and improving trend in COVID-19 cases....

Easing of Restrictions in Domestic Markets, Recovery in Oil Prices to...

Global equities continued the positive trajectory for the second consecutive week on the back of optimism over gradual reopening of several economies across the...

Covid-19 Impact on Emerging Market Debt

Covid-19 has rapidly become an economic shock for the global economy. Initially rocking China, global economic expectations changed dramatically in early March, and have...

V-shaped Economic Revival, Fuelled by FOMO

The Fear Of Missing Out (FOMO) is likely to drive financial markets significantly higher in the coming weeks. The prediction from Nigel Green of deVere...

Progress on The Fight against COVID-19 to Drive Investors Sentiments

Global equity markets performed negatively during the week as a sharp decline in oil prices and Q1 2020 earnings weighed on investor sentiments. The...

ESG Makeover for Investment Industry

The COVID-19 pandemic has heightened our expectations of environment, social and governance (ESG) investing across the globe. Although it has been a mainstream topic...

Global Economic Growth to Rebound in 2021; Dynamics for Post COVID-19...

Following the mid March outlook on the COVID-19 health and economic crisis, J.P. Morgan has released more detailed analyses concerning the global economic growth. The uncertain...

Regional Traders Look To Oil Prices; Coronavirus Containment

Global equity markets observed positive sentiments as investors seem to be encouraged by aggressive monetary policy actions by Central Banks, especially the USD 2...

Coronavirus Pandemic Will Drive Responsible Investing ‘Skywards’

The coronavirus pandemic and its economic fallout will trigger a ‘skyward surge’ in sustainable, responsible and impactful investing over the next 12 months, affirms...

Global Financial Markets To Use China’s Recovery As Critical Gauge

Global financial markets will use China’s recovery as a sentiment tracker, affirms Nigel Green as European and Asian-Pacific markets and U.S. futures fell after...