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Favoring Lower Volatility

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Factor Changes: Europe ex. U.K. adding Lower Volatility. Favored Factors Include: Price Momentum and Cheaper Free Cash Flow Multiples. Favored Europe ex. U.K. Stocks Include: Luxottica Group, Michelin, Unilever, Axa, DnB, Ryanair, SAP, BASF. Favored U.K. Stocks Include: Persimmon, Burberry Group, Relx, Booker Group, Ferguson, Intertek Group.

Ned Davis Research | Stock Selection | Europe Portfolio Strategy | Monthly

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