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The Financial Market Service is a quarterly publication of macrofinancial forecasts intended for investment managers which contains: A poll of 30 financial institutions with forecasts of the level of the SBF 120 index as well as short-term interest rates in 3 and 6 months; forecasts of the inflation rate over the next twelve months; the weight of factors be they political, economic or monetary influencing the market. Information on the evolution of valuation factors in the equity market, including performance by risk, liquidity and yield class. Information on the evolution of overall market characteristics, such as the stock/bond spread and the risk premium. Recommendations on allocation between asset classes (stocks, bonds) and within equities according to risk, liquidity, yield, and expected return.
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