Gautam Samarth, deputy manager for the M&G Episode Macro strategy, explains how the market is being cavalier about tail risk events.
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Gautam Samarth, deputy manager for the M&G Episode Macro strategy, explains how the market is being cavalier about tail risk events.
Damir Bettini, portfolio manager at Capital Group, explains why he favours European investment grade bonds at the moment.
A year on from the collapse of Silicon Valley Bank, European banks have put themselves in a promising position, according to investors.
In our latest edition of Editorial Board Insights, Fund Selector Asia caught up with Song Sheng Harn, vice president at UOB Private Bank, to discuss investment strategies for 2023.
FSA canvassed the opinions of market observers on whether the China reopening rally is now done or whether markets are just taking a breather.
Part of the Mark Allen Group.