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Get the Latest European Factor Returns Dive deep into factor performance in Europe.
BY Tim Edwards, Ph.D

• Despite slowing growth in Europe’s economic heartlands and ongoing “Brexit” uncertainty, the markets were cheered after the European Central Bank extended its deposit rate further into negative territory and announced another round of asset purchases.


• The S&P Europe 350 Momentum was the best-performing European equity strategy this quarter, with Low Volatility following closely behind.


• Despite a decline in bond yields and the prospects of additional near-term central bank support, dividend strategies have underperformed so far this year.

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