Funding Technique

Low yields and low volatility characterised the two years between February 2016 and January 2018. In February 2018 fairness market volatility spiked as markets globally had been affected by a robust correction. The major drivers of the lengthy interval of low volatility are associated to decrease fairness return correlation, a low interest rate environment and searchfor-yield methods, and stable macroeconomic and company performances.

Leave a Reply