Aug
16

What Fund Managers Are Worried About in Emerging Asia Markets

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  • Trade war, China slowdown and stronger dollar are main drivers
  •  Malaysia, Indonesian bonds among investors’ top picks

From a rising dollar to an escalating trade war, emerging Asian bonds and currencies have had nothing but trouble this year. Investors in the region are bracing for more – at least in the near-term.

A series of Bloomberg News interviews with fund managers from Pacific Investment Management Co. to Amundi SA shows that trade tensions, tariffs and elections are still seen as the main headwinds to Asian markets. What happens in China will be key, with some holding out for a stabilization in the yuan, while others say Asia’s strong economic fundamentals will offer a buffer to any volatility…

What Fund Managers Are Worried About in Emerging Asia Markets

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