Five post-crash bets for the road ahead
By , 25 Aug 15
Industry experts come together and select their best investment calls for the post-crash environment.
With the global equities free-fall having snagged a ledge – other than the Shanghai Composite, which continues to plunge – it appears that, for now at least, the sell-off is over and markets can resume business as normal.
But given the short, medium and long-term implications of this apparent correction, impending US rate hikes, already implemented Chinese rate cuts, and currency devaluation in Europe, Asia and Japan, where do the opportunities lie?
In this gallery, industry experts offer their thoughts on which markets should figure at the top of the investor agenda, and which are worth an outside punt.
The panel includes Anthony Willis, director on F&C Asset Mangement’s multi manager team, Darius McDermott, managing director at Chelsea Financial Services, Seven Investment Management senior investment manager Peter Sleep, and Jan Dehn, Ashmore’s head of research.
Tags: Bonds | China | Investment Strategy