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Market Quote:  U.S Earnings Mostly Beating Expectations, Sustainability Stocks Stabilizing

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Insights and Market Perspectives

Market Quote:  U.S Earnings Mostly Beating Expectations, Sustainability Stocks Stabilizing

Author: The editor's desk

October 23, 2024

A mid-week analysis of what’s happening in global financial markets from the perspective of AGF’s investment management team.

November Reign

More than 20% of S&P 500 Index companies had reported third-quarter earnings as of Wednesday morning, with over 70% beating consensus earnings per share (EPS) estimates by nearly 6% on average, according to UBS. Last week saw strong earnings “beats” and stock price reactions from the U.S. Financials sector, while this week has provided more mixed results from various U.S. Industrial and Consumer names. Next week represents the main earnings event with many of the mega-cap technology companies reporting results.

November is historically a very strong month for U.S equity markets, but we expect volatility to continue into year-end as investors navigate the rest of earnings season, the upcoming U.S. election, ongoing geopolitical conflicts and uncertainty on the timing of future interest rate cuts. The U.S. Federal Reserve began its rate-cutting cycle in September and inflation continues to fall, however, bond yields have risen over the past month as economic indicators and corporate earnings remain resilient.

Sustained Momentum

Sustainable investing themes have experienced deep recessionary fundamentals over the past 18 months, but recent interest rate cuts in the U.S. and elsewhere around the world may be giving new life to this beaten-down segment of the global equity market.

While the U.S. presidential election may increase volatility in the short term, medium-term secular drivers—such as the U.S. Inflation Reduction Act, climate disasters, and artificial intelligence’s (AI) demand for energy—make us more optimistic about sustainable investing heading into 2025.

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The views expressed in this blog are those of the author and do not necessarily represent the opinions of AGF, its subsidiaries or any of its affiliated companies, funds, or investment strategies.

Commentary and data sourced from Bloomberg, Reuters and other news sources unless otherwise noted. The commentaries contained herein are provided as a general source of information based on information available as of October 23, 2024. It is not intended to address the needs, circumstances, and objectives of any specific investor. The content of this commentary is not to be used or construed as investment advice, as an offer to buy or sell any securities, and is not intended to suggest taking or refraining from any course of action. Every effort has been made to ensure accuracy in these commentaries at the time of publication, however, accuracy cannot be guaranteed. Market conditions may change and AGF Investments Inc. accepts no responsibility for individual investment decisions arising from the use or reliance on the information contained herein.

This document may contain forward-looking information that reflects our current expectations or forecasts of future events. Forward-looking information is inherently subject to, among other things, risks, uncertainties and assumptions that could cause actual results to differ materially from those expressed herein. 

For Canadian investors: Commissions, trailing commissions, management fees and expenses all may be associated with investment fund investments. Please read the prospectus before investing. Investment funds are not guaranteed, their values change frequently, and past performance may not be repeated.

AGF Investments is a group of wholly owned subsidiaries of AGF Management Limited, a Canadian reporting issuer. The subsidiaries included in AGF Investments are AGF Investments Inc. (AGFI), AGF Investments America Inc. (AGFA), AGF Investments LLC (AGFUS) and AGF International Advisors Company Limited (AGFIA). AGFI is registered as a portfolio manager across Canadian securities commissions. AGFA and AGFUS are registered investment advisors with the U.S. Securities Exchange Commission. AGFIA is regulated by the Central Bank of Ireland and registered with the Australian Securities & Investments Commission. The term AGF Investments may refer to one or more of these subsidiaries or to all of them jointly. This term is used for convenience and does not precisely describe any of the separate companies, each of which manages its own affairs.

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RO:20241023-3969866

About AGF Management Limited

Founded in 1957, AGF Management Limited (AGF) is an independent and globally diverse asset management firm. Our companies deliver excellence in investing in the public and private markets through three business lines: AGF Investments, AGF Capital Partners and AGF Private Wealth.

AGF brings a disciplined approach, focused on incorporating sound, responsible and sustainable corporate practices. The firm’s collective investment expertise, driven by its fundamental, quantitative and private investing capabilities, extends globally to a wide range of clients, from financial advisors and their clients to high-net worth and institutional investors including pension plans, corporate plans, sovereign wealth funds, endowments and foundations.

Headquartered in Toronto, Canada, AGF has investment operations and client servicing teams on the ground in North America and Europe. AGF serves more than 800,000 investors. AGF trades on the Toronto Stock Exchange under the symbol AGF.B.

For further information, please visit AGF.com.

© 2025 AGF Management Limited. All rights reserved.

Written by

The editor's desk

The editor's desk

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