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Simons Research

Howard L. Simons produces customized economic and financial market commentary for clients both on a self-directed basis and on a requested basis as Simons Research.  The topic list can be found here.

Attached below is the output for the week of October 26-30, 2015 in the chronological order written:
  1. Asset Return Correlation After August Global Equity Selloff
  2. The Euro Carry Trade Under Potential Eurozone QE Expansion
  3. Partial Contribution Of Ten-Year Yields To U.S. Equities Decreasingly Negative
  4. U.S. Equities Remain Undervalued Relative To Corporate Bonds
  5. Partial Contribution Of Natural Gas To U.S. Equities Increasingly Positive
  6. Market Environment For British Pound / Swiss Franc Cross-Rate
  7. Energy Sector Investors Preferring Equities Over Debt In Short-Term
  8. Investment-Grade Energy Sector CDS Remains Function Of Crude Oil
  9. Market Environment For Russian Ruble
  10. Franco-German Yield Spreads After August Global Equity Selloff
  11. Spanish/Italian-German Yield Curve Spreads After The August Global Equity Selloff
  12. Bund Futures' Implied Volatility, Yield Levels And Prospective Returns
  13. Market Environment For Japanese Yen
  14. The Yen And U.S. Treasuries
  15. Partial Contribution Of Yen To U.S. Equities Decreasingly Negative
  16. Update On Japanese Swap Spreads And Volatility
  17. Market Environment For Euro/Norwegian Krone Cross-Rate
  18. Trends In U.S. Fixed-Income Volatility
  19. Gold And Negative Short-Term Euro Rates










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  • Simons Research