Asia +852 6854 1589
Australia +61 409 910 668 | +61 434 574 347

MENA Equity Strategy: 2009 Outlook

by Credit Suisse Asset Management [More Info]

Extreme volatility and correlation with global markets are functions of the current uncertainty prevailing in the gulf retail investment community. We look for results over the next two quarters, which we expect to be negative but better than the priced-in scenario, to help investors move forward with more certainty and start differentiating (probably for the first time in the GCC) between sectors and the quality of companies. We therefore see 2009 as the right time to accumulate GCC equities selectively (especially on any big dips).

Access : For Public
Pages : 80
Category : Markets

Cost : Free
Date Published : 2009-01-14

Download Now!

Member Login

Search Publications

All rights reserved 2003-2024 International Academy of Business and Financial ManagementTM

Join our groups on linkedin and Facebook