The analysts of the tradersreport would take a first speculative long position in the shares of the MuNCHENER RuCKVERSICHERUNGS AG with the WKN 843002 to Max 95,00. We presented two very interesting financial titles to our subscribers to the tradersreport in the last trading days. The share prices of both companies are characterised by huge volatility. So, for example, the shares of BANK OF AMERICA in a Tradingrange between 5.20 and 4.60 varied. That of HSBC PLC showed a Tradingrange of 4.00 3.70 out. This makes a useful set of Stoplosskursen almost impossible.
Traders and investors who could get a reasonable entry price and still have the long positions, should keep the shares of two financial institutions. It is from our point of view potential multiplier term by several months. In six to nine months the current rates will be barely conceivable. We want another financial institution in selling off mood now more closely imagine. These are the Munich RuCKVERISCHERUNSG AG.
The company may be already known to some of our loyal readers. It is one of the largest reinsurance companies in the world and is globally well positioned. Due to the financial crisis in recent months, investors made a wide berth to insurance companies, because the risks hard to estimate. Hardly an analyst was able to shine through the individual depots and any risks on the balance sheets of insurance companies more closely. As a bad example is the American AIG here shortly, that has brought the global financial system in the swaying their huge volume of business. Through this crisis but also benefit from the re-insurance companies. In many areas the competition has in recent months greatly simplified itself. \”It was in the past years IN\” as a financial investor to get involved in all kinds of risks and to enter this setting has changed dramatically. The old place deer have their splendid Willow meadows once again and can realize the whopping gains over the next few years.