April 26, 2026 a 12:31 pm

Region - Performance Analysis

Regional Performance Overview

📊 The global markets exhibit varied performance across different regions and timeframes, with significant growth in Asian markets while the Eurozone shows mixed results. This analysis aims to provide insights into short-term shifts and medium-term trends helping investors make informed decisions.

Region Performance One Week

🗣️ The one-week performance data highlights North America's resilience with the highest positive performance, while Latin America underperformed significantly. Most regions hovered around stability with slight variations.

Region Performance (%) Performance
MSCI North America 0.93%
MSCI Asia 0.87%
MSCI World -0.24%
MSCI All Country -0.25%
MSCI Eurozone -2.51%
Latin America 40 -2.71%
Weekly Performance Chart

Region Performance One Month

🗣️ Over the one-month period, Asian markets surged ahead with remarkable gains, followed closely by the MSCI All Country index. North America also showed solid growth, suggesting an optimistic outlook for short-term investments in these regions.

Region Performance (%) Performance
MSCI Asia 15.52%
MSCI All Country 11.34%
MSCI World 10.84%
MSCI Eurozone 10.11%
Latin America 40 8.51%
MSCI North America 9.19%
Monthly Performance Chart

Region Performance Three Months

🗣️ Examining the three-month period shows a strong rally in Asia, positioning it as the top-performing region. The general upward trend across most regions suggests positive momentum, except for a minor decline in the Eurozone.

Region Performance (%) Performance
MSCI Asia 8.86%
Latin America 40 5.82%
MSCI North America 4.27%
MSCI All Country 3.57%
MSCI World 3.11%
MSCI Eurozone -0.02%
Quarterly Performance Chart

Summary

✅ The analysis indicates that Asian markets are experiencing robust growth across all frameworks, making them an attractive prospect for investors. North America maintains stable performances, particularly in the short term, while the Eurozone showcases mixed results. Such trends suggest a cautious but opportunistic investment strategy with a focus on geographic diversification to mitigate risks while capitalizing on the demonstrated growth in specific regions like Asia and Latin America.

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