Granite Hills Investments - Weekly Market Overview 19 June 2012

Author:

Mark Ridgway

Granitehills Investments

Released:

20 Jun, 12

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Summary

This report looks at current developments in global markets. The focus is from a global marco point of view examaning issues such as economic policy and geo political trends. There is also a review of the four major asset classses bonds, currencies, equities and commodities. 

Recommended for

Entrepreneur / Private Investor / Professional Investor / Asset Manager / Other

Product Classification in FRX

Region

World 

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Newsletters, Overviews, etc. 

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Other 

Details

Global Macro Research 

Detailed description

Performance remains very strong with YTD performance now at +34.45% and performance since inception now at +244.15%
Once again markets are being roiled by what is going on in the Eurozone. The great hope was that if Greece elected a new government which supported the various bailouts the country has received the Eurozone would enter calmer waters. However, after a very brief rally markets firmly focused their attentions on Spain. With G20 leaders currently meeting in Mexico and the EU leader’s summit next week markets are clearly going to be focused on these various political gatherings. Unfortunately the likelihood is that little will be achieved at these meetings and the current scramble of putting short lived sticking plasters on the wound will continue.
 

Author's disclosure

I have no positions in any stocks mentioned in the work, and no plans to initiate any positions within next 72 hours. I receive no compensation to write about any specific stock, sector or theme.

Keywords

BONDS  COMMODITIES  CURRENCIES  EMERGING MARKETS  EQUITIES  EUROZONE  GLOBAL MARKETS  US ECONOMY

FRX Identity

Product ID:

W-00000133

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Upload date:

20 Jun, 12 

Last updated:

20 Jun, 12 

Status change date:

20 Jun, 12