Morningstar's Global Equities Week 2011

SPECIAL FEATURE: Morningstar experts around the globe, plus special guests, assess opportunities among the world's equity markets

Holly Cook 4 December, 2011 | 3:44PM
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Throughout the week of December 5-9, Morningstar's websites around the globe have been devoted to the theme of global equity investing. We often run Special Feature weeks on Morningstar's U.K. website but this time it's not just us who have been researching, interviewing and publishing on all things equity-related: Morningstar Asia, Australia, Canada, Europe and U.S. have all contributed to this all-important topic.

We've heard from top equity managers on their outlook for 2012 and their regional top tips, and we've heard from Morningstar's own analysts on broad-ranging topics, from Nokia's demise, to global dividend stocks, to how to find reliable outperformer funds.

Below are links to all the articles and videos published this week as part of Global Equities Week. Click on a headline to read on.

Managing Your International Investments
Equity Investing Cheat Sheet Easily find your way around Morningstar.co.uk's equity investing tools and research.

Why Escaping Eurozone Equities Might Not Be Worth It Trying to avoid the region's problems might not be worth the effort--or the risk. 

Desperately Seeking Outperformers We investigate the defining factors that can help you find reliable actively-managed equity funds. 

Portfolio Positioning for a Multi-Low Environment A low growth, low inflation, low interest rate environment implies tilts towards U.S., Asia Pacific and emerging markets equities.

Investing in Low-Growth Markets Morningstar Australasia talks to 'Extreme Money' author Satyajit Das about investing in a post-financial crisis, low-growth world.

Divdend Investing
Top Tips for Picking Dividend Payers Investment expert Rodney Hobson gives his top tips for income-focused investors, including why equities are a much better bet than bonds.

Searching for Yield Around the Globe Investing with a dividend-yield criterion makes sense not only on an individual stock level but also on a country level, especially in a low-return environment.

Take the Global Dividend Tour How to screen for dividend stocks and how to build and manager a dividend portfolio.

11 Global Dividend Stocks and 9 Income Bellwethers Rules for screening for dividend stocks, and top results from such a screen.

Manager Insights
Top Managers Tip European Equities for 2012 European equities could be the ones to watch next year, thought diversification is paramount given the difficulty in predicting risk in the current environment.

Emerging Markets Set for Rebound Schroders' head of GEM equities says after a tough year, emerging market valuations are "extremely attractive" and a shift in sentiment is all that's needed to triffer a substantial rebound.

Investing in Low-Growth Markets Morningstar Australasia's Christine St Anne talks to 'Extreme Money' author Satyajit Das about investing in a post-financial crisis, low-growth world.

The Case for 'CASSH' Canada, Australia, Singapore, Switzerland and Hong Kong could present an investment opportunity for those willing to overweight a basket of the smaller, developed nations, according to iShares.

International Markets
Europe
Value in Europe? Not Yet
European stocks seem cheap, but we think they'll get much cheaper down the road.

Can Nokia Regain Its Lustre? Once an investor darling, Nokia has disappointed repeatedly.

Smith & Nephew: Innovation, Education Key to Emerging Market Medical-device expansion in the BRIC countries will accelerate as price points are lowered and more doctors learn how to use orhopaedics, says S&N's Phil Cowdy.

A Turning Point for Italian Luxury Brands The strong growth in Asian markets is forcing small Italian luxury brands to decide whether to go public or get acquired by a larger luxury group.

North America
The U.S. Market: Under-, Over-, or Fairly Valued? We examine the valuations on two U.S. broad market ETFs for insight.

Canada's Banks: A Model Industry? They operate in a low-risk, high-return environment, but future growth may be limited.

The Canadian Equity Markets: An Overview Fuelled by its wealth of natural resources in the energy and mining sectors, Canada has been among the best performing equity markets over the past decade.

Australasia
A Roller-Coaster Ride for Indian Equities The Indian stock market's high-beta nature can both hurt and reward, exceedingly.

Australia: Mining China's Growth Australia is one of the few developed nations today that is not ravaged by high debt, its growth buoyed by strong demand for commodities from China.

Banks On Top Down Under Australian banks' balance sheets have never been stronger, which cannot be said of the overwhelming majoirty of European and U.S. banks.

Investing in China's State-Owned Enterprises Incoming reform poses a serious risk to the profitability and return on capital for China's state-owned enterprises.

Our Long-Term View on Rate Liberation in China There's significant risks in further reform under the current situation.

The information contained within is for educational and informational purposes ONLY. It is not intended nor should it be considered an invitation or inducement to buy or sell a security or securities noted within nor should it be viewed as a communication intended to persuade or incite you to buy or sell security or securities noted within. Any commentary provided is the opinion of the author and should not be considered a personalised recommendation. The information contained within should not be a person's sole basis for making an investment decision. Please contact your financial professional before making an investment decision.

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About Author

Holly Cook

Holly Cook  is Manager, Morningstar EMEA Websites

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