In this episode of The Week in Markets, we examine recent market volatility in both the US and China markets. Specifically we discuss why the rates market sold off and how that may affect US assets, why the current pullback in US equities may be an opportunity to add, and how the latest financing challenge in the Chinese trust industry may hurt sentiment. Last but not least, India stands out as a long-term pick in Asia - we explain why.
This episode is presented by Richard Tang, head Research Hong Kong for Bank Julius Baer.
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