Strategies for ‘post-peak’ investing in Asia-Pacific

The market setbacks at the end of last year marked an end to a decade of strong stock and bond returns, accompanied by low volatility. In just the first three weeks of December of last year, the MSCI World Equity Index plunged over 13%. Even a so-called ‘balanced portfolio’, comprised of a 60-40 market-capitalization weighted allocation to stocks and bonds, lost more than 7% in the same period.

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Date

25 Feb 2019

Channel

Europe

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