Finance entity

Counterpoint Global Insights

division

All 1 tracked stories fall under one category: markets. Morgan Stanley is the most frequent co-covered peer, appearing in 1 of the 1 tracked story. Each story carries 2 original sources on average, compared with 2.3 for the broader beat in this window.

Last mentioned: Jun 20, 2026

Entity pulse

Recent coverage · Counterpoint Global Insights

1 story
6 avg impact
0% positive
100% negative

Coverage balance Negative coverage leads. Negative coverage exceeds positive coverage by 100 percentage points.

  • 100% negative

Figures are computed live from our source-verified story record — see our methodology for how impact and sentiment are derived.

What the coverage shows about Counterpoint Global Insights

All 1 tracked stories fall under one category: markets. Morgan Stanley is the most frequent co-covered peer, appearing in 1 of the 1 tracked story. Each story carries 2 original sources on average, compared with 2.3 for the broader beat in this window. The 6 average consequence score is below the beat benchmark of 6.5 in the same window. Counterpoint Global Insights appears in 1 tracked Finance story from June 20, 2026.

Stories tracked
1
Sources per story
2

Computed from the 1 stories linked to this entity, with beat comparisons drawn from all 22 Finance stories published in the same date window. Shares are omitted below five stories and comparisons below a twenty-story baseline.

Coverage cohort

Appears alongside

Other entities that clear the same relevance threshold in stories also covering Counterpoint Global Insights. Shared-story counts are live from our verified record — not editorial picks.

Stories mentioning Counterpoint Global Insights 1

Markets Bearish

Morgan Stanley: Low-expectation stocks beat high-growth peers by 2.6% annually

Morgan Stanley’s analysis of 35 years of US equity data finds that stocks with lower growth expectations significantly outperformed those with high PVGO, delivering a 5-year median TSR of 8.7% vs 5.0%. The annual return gap averaged 2.6 percentage points, with a positive spread in 9 out of every 10 years, challenging the growth-premium assumption in portfolio management.

2 sources

Source: thehindubusinessline.com · Ani (asian News International)

Counterpoint Global Insights is linked from 1 story on this site, each scored at or above our 35% relevance threshold — see how these pages are built.

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