Monthly Report November 2022
Fixed Income Portfolio Managers comments November was yet another busy month where the markets fluctuated in line with the news flow. In China, the authorities imposed new restrictions after major outbreaks of Covid 19 in a number of large cities. The measures caused a lot of anger among the Chinese people and there have been […]
Läs vidareMonthly Report October 2022
Fixed Income Portfolio Managers comments The current state of the world economy with high inflation and deteriorating growth prospects led to continued high volatility in the markets during October. The International Monetary Fund, IMF, released a new economic forecast in which they lowered their growth projections. They expect global growth to fall from 3.2% in […]
Läs vidareMonthly Report September 2022
Fixed Income Portfolio Managers comments September was an unusually eventful month in many different areas as markets focused on increased risks and worsening economic conditions. In Sweden, parliamentary elections were held, which resulted in a narrow victory for a right wing coalition consisting of four parties. However, the forming of a government seems to be […]
Läs vidareMonthly Report August 2022
Fixed Income Portfolio Managers comments After a quiet start in August with stable returns in most asset classes, volatility and risk aversion rose gradually. The main explanation for the deteriorating sentiment was increased concern that high inflation will force central banks to raise their policy rates more than expected, which caused yields on government bonds […]
Läs vidareMonthly Report July 2022
Fixed Income Portfolio Managers comments July was another volatile month in rates- and credit markets, as investors continue to balance the outlook for interest rates, inflation and growth. In Europe, natural gas prices rose significantly during the month due to the dependence on Russian gas, which resulted in the German government buying 30% of energy […]
Läs vidareMonthly Report June 2022
Fixed Income Portfolio Managers comments During June, the weak and volatile development that has been a fact during the first half of 2022 continued. Investors’ focus shifted between concerns about high inflation and rising interest rates and risk for recession as a consequence of excessive monetary tightening by central banks. During the month, new shutdowns […]
Läs vidareMonthly Report May 2022
Fixed Income Portfolio Managers Comments The volatility in the financial markets was very high in may due to uncertainty about the future economic development. The inflation figures that were published showed that price pressures are at high historical levels. At the same time, the general economic activity is good and the labor market is strong, […]
Läs vidareMonthly Report March 2022
Fixed Income 10-year anniversary and a new fund launch! We would like to take this opportunity to highlight that our fund, Simplicity Företagsobligationer, celebrated its 10th anniversary on March 30, and thank all of our customers for the trust you have shown us over the years. We also want to inform about an upcoming product […]
Läs vidareMonthly Report February 2022
Fixed Income Portfolio Managers comments February became a very turbulent month, largely affected by the tragic course of events in Ukraine, which escalated with the Russian invasion on February 24. The world responded to the action with dismay and the western countries reacted immediately by assisting Ukraine with both humanitarian aid and military equipment. In […]
Läs vidareSimplicity dividends 2022
On April 25th, 2022 dividends will be paid from below funds managed by Simplicity: Simplicity Företagsobligationer share class B (SE0006963617) Simplicity Global Corporate Bond share class B (SE0007948237) Simplicity High Yield share class B (SE0014555231) Simplicity Småbolag Sverige share class B (SE0009161557) Simplicity Fastigheter share classB (SE0015243282) All unitholders in above funds on ex- and […]
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