Seleziona un Paese
View available investments and insights in your market
Americas
Europe and the Middle East
Asia Pacific

Diversificare i rischi

The content you are trying to access is not available for the global audience. It is available in Italia.

Diversificare i rischi in portafoglio

Every Region is Different
Different regions have different issuers, a different balance of sectors, and are often at different points in their economic cycles, resulting in notable dispersion in their calendar-year returns. On average, since 2015, there were more than seven percentage points of difference between the returns of the top- and bottom-performing markets. The biggest difference was 11.2 percentage points, between the Sterling and Canadian dollar markets in 2016.
Calendar year total returns, in U.S. dollars, for seven individual credit markets, 2015 – 2024
Best
2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
CHF 3.3% 12.8% 5.9% 3.7% 12.8% 10.2% -0.1% -7.3% 12.2% 9.8%
CAD 2.7% 6.3% 4.8% 3.4% 11.2% 8.7% -0.5% -8.3% 10.8% 7.3%
JPY 1.3% 4.4% 4.4% 1.9% 9.4% 8.3% -1.0% -10.1% 10.6% 6.4%
AUD 0.7% 3.3% 4.3% 1.7% 8.5% 6.6% -1.7% -11.1% 9.9% 5.0%
GBP 0.0% 2.7% 3.0% 1.5% 7.7% 6.5% -2.0% -11.6% 7.9% 5.0%
EURO -0.2% 2.6% 2.7% -0.6% 7.3% 4.2% -2.6% -17.8% 7.4% 2.0%
USD -0.9% 1.6% 2.5% -5.3% 6.5% 2.6% -3.1% -18.1% 5.8% 0.3%
Worst
Ultimi approfondimenti
Rimani aggiornato
Iscriviti per ricevere aggiornamenti pertinenti e tempestivi.
play_circleGuarda il reply
Webinar – Make Your Money Move
Scopri perchè è ora il momento giusto per spingere al massimo il tuo portafoglio.
GUARDA