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DAILY VOICE: 3 risks that are likely to weigh on equities in second half of 2020

The biggest risk for global investors in the second half of 2020 comes from a second/third wave of coronavirus attack. If this happens then it could jeopardise the recovery process.

July 23, 2020 / 08:16 IST
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The biggest risk for global investors in the second half of 2020 comes from a second/third wave of coronavirus attack. If this happens then it could jeopardise the recovery process and all assumptions of economic recovery could go awry, Rusmik Oza, Executive Vice President, Head of Fundamental Research at Kotak Securities, said in an interview with Moneycontrol’s Kshitij Anand.

Edited excerpts:

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Q) What will be the biggest risk for investors in the second half of 2020?
A) The biggest risk for global investors in the second half of 2020 comes from a second/third wave of coronavirus attack. If this happens then it could jeopardise the recovery process and all assumptions of economic recovery could go awry.

Secondly, the US election is also a big event to watch in the second half as the outcome could have an impact on global markets, especially considering the strained relations between the US & China.

Lately, lofty valuations are also a big risk for global equities as the two-year forward PE of the US markets and MSCI World Index is higher than the previous peak of the last 15 years.

Q) What is your call on the IT sector? This has been one of the better-performing sectors amid the lockdown. Where do you see value in the sector?
A) Two months back we were building in single-digit earnings de-growth for the frontline IT companies in FY21. However, post Q1 results we are now building in 3-4% earnings growth for the frontline companies (excluding TCS) in FY21.