28 January 2014

The risk of a correction or new bear market in shares

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Since the height of the Eurozone public debt crisis in September/October 2011, global shares are up 58% and Australian shares are up 37%. After such strong gains an obvious issue is whether shares have got ahead of themselves, leaving them vulnerable to a fall. This note looks at the risks.

To read more, please click on the following link:

The-risk-of-a-correction-or-new-bear-market-in-shares

 

Article by Dr Shane Oliver, Head of Investment Strategy & Chief Economist, AMP Capital

Verante Pty Ltd is a Corporate Authorised Representative of Viridian Select Pty Ltd, ABN 41 621 447 345, AFSL 515762. This information has been prepared without taking account of your objectives, financial situation or needs. Because of this you should, before acting on this information consider its appropriateness, having regard to your objectives, financial situation and needs.

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