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HyperVolatility – End of the Year Report 2014

The HyperVolatility End of the Year Report 2014 is finally ready and this year we have added more asset classes.

You can browse the report using the interactive Table of Contents which allows you to jump straight to the analysis you want to read.

The HyperVolatility End of the Year Report 2014 can be downloaded FOR FREE at the following link (no registration required):

HyperVolatility End of the Year Report 2014

HyperVolatility End of the Year Report 2014 (PRINT)

The 1st part examines the performances of the following asset classes throughout the 2014:

Equity Indices: Mini S&P500, DAX 30

Treasury Bonds: German Bund, US 10–year Treasury Bonds

Currencies: Euro, Japanese Yen, British Pound Sterling

Commodities: WTI Crude, Brent Crude, Gold

Volatility Indices: VIX Index

The 2nd part analyzes the macroeconomic scenario in USA, Europe, Australia, Japan and BRICS economies (Brazil, Russia, India, China and South Africa). The economic indicators that have been considered for the study are the following:

GDP Growth Rate

Unemployment Rate

Inflation Rate

Debt–to–GDP Ratio

Credit Rating

Please, email all your questions at info@hypervolatility.com

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