October 04, 2026 a 12:31 pm

Region - Performance Analysis

Geographic Region Performance Overview

The recent performance data across various geographic regions highlights noteworthy trends and shifts. Over the past week and month, the Latin America region exhibited resilience, posting positive returns in the short term. Conversely, the Eurozone has consistently underperformed across all observed periods, indicating potential macroeconomic weaknesses. These insights serve as a critical indicator for strategic asset allocation decisions.

๐Ÿ“Š Region Performance One Week

Region Performance (%) Performance
Latin America 40 0.69
MSCI North America 0.0
MSCI World -0.57
MSCI All Country -0.59
MSCI Asia -0.90
MSCI Eurozone -2.44
One Week Regional Performance Chart

๐Ÿ“ˆ Region Performance One Month

Region Performance (%) Performance
MSCI North America 0.0
MSCI World -1.07
MSCI All Country -1.06
MSCI Asia -1.73
Latin America 40 -2.95
MSCI Eurozone -4.89
One Month Regional Performance Chart

๐Ÿ“‰ Region Performance Three Months

Region Performance (%) Performance
Latin America 40 2.94
MSCI World 1.65
MSCI All Country 1.51
MSCI Asia 1.35
MSCI North America 0.0
MSCI Eurozone -3.92
Three Months Regional Performance Chart

๐Ÿ” Summary

Throughout the assessed periods, the Latin American market has demonstrated considerable strength, particularly over the three-month horizon, positioning itself as a top performer. In contrast, the MSCI Eurozone's consistent negative performance warrants cautious consideration, likely driven by prevailing economic uncertainties. Investors may wish to maintain an optimistic stance on Latin America while reassessing Euros-area exposure. These findings should inform tactical adjustments in global asset portfolios to enhance diversification and optimize returns.

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