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The month of April was a relatively good month for risk assets in general, with no meaningful difference between returns of the various indices. Looking at the global space, returns were muted when looking in US Dollar terms. This was, in part, because of the...
December was a month of more risk-off trading than risk seeking behavior, in contrast to the rest of the quarter. We saw the end of what has been a very volatile year and it seemed like almost everyone was just looking forward to putting their feet up and relaxing....
During this month, we attended various asset manager presentations in London as well as the Citywire Conference at Fancourt. Many views were shared and collectively we had exposure to more than 40 manager presentations over two weeks. Following the last two weeks, a...
It was another rollercoaster month for risk asset investors. Although most global equity indices ended the month only slightly positive, it felt a lot worse. There was no real “winner” when you look at the figures, with the S&P500 returning 0.13%, the ACWI ex-USA...
After an “interesting” start to the year, we were all shocked at the news of events in Russia and the Ukraine. This caused global investors to look for safe havens and the markets to turn risk-off as a consequence. It is only in the resources and energy sector that we...