Market Review
Q1 2018

Market Review

Q1 2018

The first three weeks of 2018 were basically very similar to what happened in 2017, a whole year characterized by a consistent complacency environment that favoured risky investors.
Many equity indices were up more than 5% before the end of January and good news were coming also from the fixed income sector; for example, in the same period the European High Yield bond market was able to recover all the losses collected in November 2017 hitting new historical highs.

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