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10 big-money investors each share the single market risk they think traders are overlooking right now

10 big-money investors each share the single market risk they think traders are overlooking right now
Samantha Lee/Business Insider



In an exclusive survey, fund and portfolio managers shared the macroeconomic and market factors they believe investors are missing as they navigate the market turbulence spurred by the pandemic.




"The market is not focusing enough on the geopolitical issues that have been bubbling up throughout this crisis," Elaine Stokes, a portfolio manager at Loomis Sayles, told Business Insider.




Others were concerned that investors are not taking the unemployment situation seriously enough as the US jobless rate this month reached the highest level in nearly a century.




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Since the depths of March, US stocks have staged a stunning rebound as the economic picture appears grim as ever.
The unemployment rate earlier this month shot up to 14.7% and employers eliminated 20.5 million jobs in April as the coronavirus pandemic forced businesses to shutter, some permanently, across the country.
Corporate profits for the first quarter declined by 14% compared to a year earlier, the worst such growth rate in 11 years, Goldman Sachs strategists noted in a recent report.
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