The Global Fixed Income team discusses how January felt like Golidlock’s conditions for markets, but March brought the three bears of risk—trade war, rising short-term rates and FANG stocks.
The Global Emerging Markets Team examines the reason for recent market jitters, and debates whether Trump’s latest threats really have an impact.
The International Equity Team welcomes the return of market volatility and suggests the relative certainty of high-quality companies doesn’t look expensive.
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