With its specialized expertise of securities markets, Abaxbank’s Research Department’s main goal
is to provide support to all activity desks with the best market forecasts and statistical
analysis while guaranteeing client access to information by producing reports and information
targeted to the clients’ specific investment needs.
The Research department’s activity covers a variety of areas, from real time commentary on market
trends and macro-economic scenarios to formulating trading ideas and planning advanced investment
strategies.
Italian small & mid caps are studied with great attention, particularly those companies whose
stock is assessed as having significant investment prospects, in the following sectors: financial,
consumer goods, building & construction and industrial.
The Credit Research team analyses the bond market in great detail as well as specific Italian
companies. Particular attention is also given to corporate issuances managed by Abaxbank.
The Quantitative Research team bases its analysis on advanced statistics methods and computer
applications, which accurately simulate the possible results of the investments studied, based on
a series of market hypotheses: this proves to be an efficient tool in the asset allocation
decision-making process.
Thanks to the presence of a strategist, Abaxbank is able to provide a global vision of the
financial markets, which is not limited purely to technical analysis, but is the result of a
thorough and original analysis of the political, social and sociological events of our time.
It is an influential and powerful point of view that is of great value in directing the bank and
its clients in their respective choices.