Despite sovereign debt woes in some European countries, many fund managers expect market growth to exceed expectations and bolster market returns. Says one manager: “There are pockets where opportunities lie”
“There is more macroeconomic risk than there has been for a long time,” says one mutual fund manager
Policymakers remain wary that government debt crisis could flare up again
Exporters reap the benefits of a recovery in global demand
More study necessary on the risks of high frequency trading, CESR says
Fitch Ratings survey shows concerns about banks’ credit quality
Many investors have fled European stocks, but that may not be the best strategy
Alternative investment industry warns of damaging effects of proposed rules
Money managers say even modest economic growth could create a strong rebound in some European equities