European equities finally hit their QE-fuelled sweet spot

clock • 2 min read

Even if Greece finally leaves the single currency, the financial shock will be both manageable and short-lived as European equities have already started their QE powered rebound, says Paul Wild, manager of the JOHCM Continental European fund

The prospect, and now reality, of quantitative easing (QE) has lit a fire under European stock markets in 2015. European equities have notched up their best start to a year since 1997, led by the sizzling DAX. QE is already working its magic on eurozone sovereign bond yields too: Italian 10-year bond yields were down a massive 26 basis points in February; Portuguese debt traded at a yield lower than 10-year US treasuries for the first time since 2007; and Germany issued five-year paper at a negative yield. The stars are certainly aligned for European equity investors at present. Evide...

To continue reading this article...

Join Investment Week for free

  • Unlimited access to real-time news, analysis and opinion from the investment industry, including the Sustainable Hub covering fund news from the ESG space
  • Get ahead of regulatory and technological changes affecting fund management
  • Important and breaking news stories selected by the editors delivered straight to your inbox each day
  • Weekly members-only newsletter with exclusive opinion pieces from leading industry experts
  • Be the first to hear about our extensive events schedule and awards programmes

Join now

 

Already an Investment Week
member?

Login

More on Investment

Stories of the week: US tariffs, global markets and Rachel Reeves

Stories of the week: US tariffs, global markets and Rachel Reeves

Wealth managers reduce exposure to US assets; AllianceBernstein secures two SDR labels; Pennon Group most shorted UK stock

clock 04 April 2025 • 1 min read
The Big Interview: Franklin Templeton CEO Jenny Johnson on 'the three Cs' of takeovers, agentic AI and alternatives

The Big Interview: Franklin Templeton CEO Jenny Johnson on 'the three Cs' of takeovers, agentic AI and alternatives

Growing a global business

Katrina Lloyd
clock 02 April 2025 • 12 min read
Partner Insight: Capitalising on the growing alternative lending market

Partner Insight: Capitalising on the growing alternative lending market

Private Credit, a nascent and rising asset class for wealth portfolios but one that is close to ubiquitous amongst institutional investors, can offer stable, high yielding returns and reduced volatility compared to traditional fixed income, says Michael Massarano, Partner and Deputy CIO at Arcmont Asset Management, an investment-affiliate of Nuveen.

Michael Massarano, Partner and Deputy CIO at Arcmont Asset Management, an investment-affiliate of Nuveen
clock 01 April 2025 • 6 min read
Trustpilot