19.06.2007 14:00:00
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Investor Confidence Index Rises to 97.2 in June
State Street Global Markets, the investment research and trading arm of
State Street Corporation (NYSE:STT), today released the results of the
State Street Investor Confidence Index® for June 2007.
Global Investor Confidence rose by 5.1 points to 97.2 from May’s
revised reading of 92.1. Leading the way were North American
institutional investors, whose confidence rose from 100.1 to 105.8. The
gain in European investor confidence from 94.4 to 94.9 was more modest,
while Asian sentiment dipped from 85.8 to 83.8.
Developed through State Street Global Markets’
research partnership, State Street Associates, by Harvard University
professor Ken Froot and State Street Associates Director Paul O’Connell,
the State Street Investor Confidence Index® measures investor confidence on a quantitative basis by analyzing
the actual buying and selling patterns of institutional investors. The
index is based on financial theory that assigns precise meaning to
changes in investor risk appetite, or the willingness of investors to
allocate their portfolios to equities. The more of their portfolio that
institutional investors are willing to devote to equities, the greater
their risk appetite or confidence.
"Globally, institutional investors are
continuing to display an inclination to allocate towards risky assets,
leading Investor Confidence to nudge back towards 100 for the second
time this year,” commented Froot. "Growth
prospects reflected in the bearish bond market are part of the story,
but even controlling for these fundamentals the appetite to take risk
remains strong.” "Looking regionally, it is North American
institutional investors who are displaying the most enthusiasm,”
added O’Connell. "European
investors have followed suit to some degree, but Asian institutions have
been reluctant to deploy risk, and confidence there remains more or less
at the same level as at the start of the year.”
June Results
Global
97.2
N. America
105.8
Europe
94.9
Asia-Pacific
83.8
About State Street Global Markets:
State Street Global Markets provides specialized investment research and
trading in foreign exchange, equities, fixed income and derivatives. Its
goal is to enhance and preserve portfolio values for asset managers and
asset owners. From its unique position at the crossroads of the global
markets, it creates and unlocks value for its clients with original
flow-based research, innovative portfolio strategies, trade process
optimization, and global connectivity across multiple asset classes and
markets.
State Street Global Markets’ research team of
leading academic and industry experts is committed to continually
advancing the science, including theory and application of its
proprietary investor behavior research and innovative portfolio & risk
management technologies to help its clients challenge conventional
thinking, shape ideas, make more informed investment decisions and
deliver measurable results.
About the State Street Investor Confidence Index®:
The index is released globally at 10 a.m. Eastern time in Boston on the
second to last Tuesday of each month. More information on the State
Street Investor Confidence Index, including frequently asked questions
and a calendar of release dates, is available at
http://www.statestreet.com/investorconfidenceindex. The previous month’s
calculations for the index are revised to account for trading activity
through the end of the reporting period.
About State Street:
State Street Corporation (NYSE: STT) is the world's leading provider of
financial services to institutional investors including investment
servicing, investment management and investment research and trading.
With $12.3 trillion in assets under custody and $1.8 trillion in assets
under management at March 31, 2007, State Street operates in 26
countries and more than 100 geographic markets worldwide. For more
information, visit State Street’s web site at www.statestreet.com.
This news announcement contains forward-looking statements as defined by
United States securities laws, including statements about the financial
outlook and business environment. Those statements are based on current
expectations and involve a number of risks and uncertainties, including
those related to the pace at which State Street adds new clients or at
which existing clients use additional services, the value of global and
regional financial markets, the pace of cross-border investment
activity, changes in interest rates, the pace of worldwide economic
growth and rates of inflation, the extent of volatility in currency
markets, consolidations among clients and competitors, State Street’s
business mix, the dynamics of markets State Street serves, and State
Street’s success at integrating and
converting acquisitions into its business. Other important factors that
could cause actual results to differ materially from those indicated by
any forward-looking statements are set forth in State Street's 2006
annual report and subsequent SEC filings. State Street encourages
investors to read the corporation's annual report, particularly the
section on factors that may affect financial results, and its subsequent
SEC filings for additional information with respect to any
forward-looking statements and prior to making any investment decision.
The forward-looking statements contained in this press release speak
only as of the date hereof, June 19, 2007, and the company will not
undertake efforts to revise those forward-looking statements to reflect
events after this date.
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