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EQUITIES COMMENTARY
Feb 09, 2018
Monthly model performance report – January 2018
US: Within the US Large Cap universe the Historical Growth model had the strongest one month decile return spread performance, returning 5.86%. Over the US Small Cap universe our Historical Growth model had the strongest one month decile return spread performance, returning 3.57%, while the Value Momentum model lagged.
Developed Europe: Our Price Momentum model was the top performer on a one month decile return spread basis, returning 4.40%, while the Relative Value model trailed.
Developed Pacific: The Earnings Momentum and Deep Value models had the strongest one month decile return spread performance, returning 1.96% and 1.13%, respectively. The Price Momentum model's one year cumulative performance is currently 9.98%.
Emerging Markets: Our Deep Value model had the strongest one month decile return spread performance, returning 3.87%. The Tobin q factor within the Deep Value model, had a one month decile return spread of 3.10% and was the largest contributor to the model's performance in January.
Sector Rotation: The US Large Cap Sector Rotation model returned 2.10%.The Cyclicals sector had a favorable ranking and the Utilities sector had an unfavorable ranking.The US Small Cap Sector Rotation model struggled returning -2.40%. The Non-Cyclicals sector had a favorable ranking and the Utilities sector had an unfavorable ranking. The Developed Europe Sector Rotation model struggled returning 0.10%. The Basic Materials sector had a favorable ranking and the Healthcare sector had a unfavorable ranking.
Specialty Models: Within our specialty model library the Retail and the Oil and Gas models had the strongest one month quintile return spread performance returning 2.18% and 1.32%, respectively, while the Bank and Thrift 2 and the Insurance models struggled. The Retail model was the most improved model during the month on a one month decile spread basis improving by 4.48% over its performance in December.
S&P Global provides industry-leading data, software and technology platforms and managed services to tackle some of the most difficult challenges in financial markets. We help our customers better understand complicated markets, reduce risk, operate more efficiently and comply with financial regulation.
This article was published by S&P Global Market Intelligence and not by S&P Global Ratings, which is a separately managed division of S&P Global.
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