Weekly report: Success outside Sweden – diversification pays off
Posted by Erik Martin Hansén
Post date
23/11/2024 Reading time
- 1 min read
The weekly report provides you with scientifically based analysis of market signals and a clear picture of the stock market outlook for the next 3–6 months. It also provides an update on the development of our systematic strategies – all to keep you informed and prepared.
In this edition:
Stock market outlook 3–6 months ahead
Global asset allocation (multi assets)
Stock Strategies (Top Picks, Value & Momentum, Volatility & Quality)
Stock market outlook 3–6 months ahead
In the medium term, we use a trend model to try to stay on the right side of the primary trend. The trend rating is not intended to pinpoint peaks or troughs, but to help us participate in uptrends and limit larger declines.
In addition to the trend rating, we consider other factors that may affect the primary trend, such as macroeconomic conditions, market positioning and sentiment, and seasonal patterns.
After studying at Uppsala University, Erik Hansén has worked in the financial industry since 2007 at several brokerage firms and traded privately. In his role as an analyst, Erik has written highly regarded market letters.
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Categories Blog, Market comments, Strategies
Weekly report: Success outside Sweden – diversification pays off
Posted by Erik Martin Hansén
Post date 23/11/2024 Reading time - 1 min readThe weekly report provides you with scientifically based analysis of market signals and a clear picture of the stock market outlook for the next 3–6 months. It also provides an update on the development of our systematic strategies – all to keep you informed and prepared.
In this edition:
Stock market outlook 3–6 months ahead
In the medium term, we use a trend model to try to stay on the right side of the primary trend. The trend rating is not intended to pinpoint peaks or troughs, but to help us participate in uptrends and limit larger declines.
In addition to the trend rating, we consider other factors that may affect the primary trend, such as macroeconomic conditions, market positioning and sentiment, and seasonal patterns.
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Development multi assets, Year to Date
Development of equity strategies, Year to Date