Publications

Mariana Capital produces a number of regular publications, some on a daily basis and our major report on a weekly basis, covering Macroeconomics, Cross-Asset Analysis and Trading ideas. In addition, we publish regular handbooks and reports on specific themes which are regularly requested of our Strategy team.

 

Cross-Asset Daily Note

A daily market update across all asset classes and regions, combining the information value available from early trading sessions in Asia and any implications of overnight events are likely to have on European markets. In addition, we also give an insight into the implications of FX and Fixed Income behaviour observed for the wider market prior to the market Open in Europe.

Friday, May 25, 2012 - 08:12
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European Equities Technical Call

We look at key trading levels on major Global indices, giving both a 1 - 3 day short term view, as well as giving a more medium term projection (from 1 to 3 months). We focus on the main European and US indices, but also when appropriate on single stocks, commodities, FX and fixed income.


Thursday, February 9, 2012 - 10:43
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Cross-Asset Weekly Strategy

A global overview compiling our expertise across global macro, derivative and cash strategy, technical and fundamental indicator to generate trade ideas

Monday, July 11, 2011 - 11:52
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Ad Hoc Reports / Handbooks

Monday, June 6, 2011 - 07:11
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