While eurozone equities have recovered, they still lag US equities, which are near pre-crisis all-time highs.
This divergence has created a compelling relative valuation opportunity.
Lingering uncertainty and equity price sensitivity could justify a low volatility or stable dividend approach for investors seeking to remain (or reinitiate) long positions. SPDR ETFs offer a Low Volatility approach that provides the lowest volatility exposure across the most popular risk-based factor indices.