Perspective News

Browsing posts from February 2012

13 Feb

Global Bond Risk

The eurozone crisis has prompted a radical shake-up in the global bond market. Traditionally, bond portfolios have been constructed on the assumption developed market government bonds are lowest-risk, with risk increasing through higher grade corporate bonds and then again through emerging market bonds and higher yielding corporate bonds. However, there has been a shift in[.....]

Read More

06 Feb

UK Market Update

Share prices rose in the UK during January as a whole, although investors continued to experience a certain level of volatility. Speculation over the outlook for the eurozone continued to dominate and stocks received a boost from hopes the eurozone might gain control over its sovereign debt crisis. The benchmark FTSE 100 index rose 2%[.....]

Read More