Market Views & Insights
Market Views & Insights
thumbnail imageAsset Allocation View, September 1, 2010
The short-term outlook is for a 3-6-week risky asset relief rally followed by the next down leg. Market gains or any apparent bottoming out are not expected to be sustainable. We are using those opportunities to de-risk portfolios ahead of a major correction expected later in the fourth quarter or early in the New Year.
Asset Allocation View, August 17, 2010
Market and economic indicators continue to deteriorate. Despite recent volatility, though, a major correction is not expected until later in the fourth quarter or early in the New Year. In the meantime, we are using rallies to reduce risk in our portfolios.
Asia Intelligence, July 2010
MFC Global Investment Management's regular roundup of market views from our investment teams on-the-ground in ten markets across Asia.
Global Intelligence, July 2010
MFC Global Investment Management's quarterly roundup of economic and market views from our global investment teams

Market Commentaries
Canadian Market Outlook, July 2010
Canada’s S&P/TSX Composite Index fell 5.5% in the second quarter and is now down 2.5% for the year.

North American Fixed Income, July 2010
North American credit spreads widened in the second quarter of 2010 as risk premiums rose against a backdrop of European sovereign debt worries and a slowing economic recovery.
Global Market Outlook, July 2010
The second quarter of 2010 ended in a downbeat mood, with fears of a double dip in both economies and equity markets, amongst great uncertainty about the economic and corporate environments.

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