Market Review
Q4 2017

Market Review

Q4 2017

2017 has been - so far - characterized by implicit and historical volatily indicators at historical lows and by a consistent complacency environment that favoured risky investors and those who, while hunting for acceptable returns for themselves and their clients, preferred to ignore the poor and unusual risk/return ratio that certain asset classes have so far guaranteed, primarily the European High Yeld bond market.

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