The RS versus the MSCI World Index has already broken though resistance at line g.
Jehangir's portfolio also bears little resemblance to MSCI World or, for that matter, any other index.
Emerging markets and the MSCI World Index trail and junk bonds show just 1 percent.
Yet the stock has lost 24% this year, underperforming its peers in the MSCI World pharmaceuticals and biotech index.
The relative performance, or RS analysis, looks at the performance of EWS compared to the MSCI World Index.
Indeed, profits of those 188 companies reporting to-date in the MSCI World Index have beaten forecasts by nearly 9%!
The RS versus the MSCI World Average broke its downtrend in February and now shows a solid uptrend, line c.
Over the last decade the fund has had an average annual return of 8.6% versus 5.7% for the MSCI World.
Last year we suffered a 16% correction in the MSCI World Index before stocks rebounded for a total return of nearly 12% in 2010.
In comparison, the MSCI World index has doubled from its lows, in U.S. dollar terms, and today is about 15% below the 2007 peak.
The MSCI World Index gained more than 13 per cent last year, its best performance since the recovery from the global financial crisis in 2009.
His long-term record remains intact: The Thomas White International Fund delivered a 6.3% annualized return over the past five years, against 3.7% for the MSCI World.
The price ratios of MSCI Emerging Market index stocks and MSCI World Equity are converging, meaning lower beta equity prices are moving in line with higher beta.
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The MSCI world index is around 32% below its peak.
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As a result of big losses on such tech and telecom picks as ARM Holdings, KPN and SK Telecom, his list on average did worse than the MSCI World index.
But studies have shown mixed performance in the run-up to the Games, but interestingly, all recent Olympic hosts have outperformed the MSCI World index in the 12 months following the Olympics.
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Recently I made two tables, one showing stock returns (as measured by the MSCI World Index) over various periods beginning at the starting points of the tightening periods, the other showing returns beginning at the starting points of the loosening periods.
In addition to a chart that compares FBIOX to health care and the MSCI World Index, it also provides the performance for a number of different time periods, as well as how the fund performed relative to other similar funds or benchmarks.
The FTSE MIB index of Italian stocks is down 8% in U.S. dollar terms so far this year, underperforming the 2% rise in the broader European markets, as measured by the Euro Stoxx index, and the 8% rise in the MSCI World index, which tracks global markets.
Those with developed markets in 1900 still dominate the equity landscape, comprising 84% of the MSCI All World Index, Hudson points out.
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Global stocks have fallen 15% this year and are about 20% off their early-May highs, as measured by the MSCI AC world index.
Because the strong cost cutting undertaken by corporate America , Asia and Europe we also see record net income gains that have driven a rally of over 90% in the MSCI All-Country World Index of 45 nations.
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For Fisher, the benchmark to beat is the MSCI, the Morgan Stanley World Index.
Where he really separates himself from the MSCI EAFE Index of developed world stocks are in two sectors highly sensitive to the economy: technology and industrials with weightings nearly double those of the index.
For Fisher, the benchmark to beat is the MSCI, the Morgan Stanley (nyse: MS - news - people ) World Index.
When Morgan Stanley recalculates the company's rankings in its MSCI Emerging Markets Index, the consensus is that Gazprom, which holds nearly one-third of the world's natural-gas reserves and contributes 25% of Russia's tax receipts, will come out on top of the list, ahead of behemoths like Samsung Electronics .
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