海外研报

TEN QUESTIONS ABOUT A 'FISCAL CRISIS'

It would be a wild exaggeration to say DM fiscal risks are always a pressing concern for global investors. But these days, questions about the “fiscal trajectory” (to use the economist’s

Cross Asset Volatility Machine Learning Based Trade Recommendations

Global market were fairly stable just a week after the panic selling. Both the CARV and ETF RV models maintain a short vol bias, which is not that

Argentina Equity Strategy

Almost a year ago, we published the note Back to the Future? Similarities and Differences vs. 2015 Election, analyzing how Argentine equities behaved ahead of

GLOBAL | Quantitative Strategy-Global Quant Strategy: Rate Cut Playbook

The recent market turmoil is a clear message to the Fed that investors areprimed for rate cuts. With OECD leading indicator and earnings still strong,