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Manpreet and Ray discuss the impact of bond market volatility on risk assets. They share their perspectives on why they believe there is limited upside to long-term bond yields from current levels, as well as the yield levels at which they would consider adding to bonds. Additionally, they discuss how investors should position themselves in equities, particularly in Chinese equities during pullbacks, and conclude with insights on gold.
Find out more from our latest Weekly Market Outlook report here.
Speakers:
- Manpreet Gill, CIO of Africa, Middle East & Europe (AME/E) and Head of Fixed Income, Currency and Commodities (FICC) Strategy, Standard Chartered Bank
- Ray Heung, Senior Investment Strategist, Standard Chartered Bank
By Standard Chartered Bank5
44 ratings
Manpreet and Ray discuss the impact of bond market volatility on risk assets. They share their perspectives on why they believe there is limited upside to long-term bond yields from current levels, as well as the yield levels at which they would consider adding to bonds. Additionally, they discuss how investors should position themselves in equities, particularly in Chinese equities during pullbacks, and conclude with insights on gold.
Find out more from our latest Weekly Market Outlook report here.
Speakers:
- Manpreet Gill, CIO of Africa, Middle East & Europe (AME/E) and Head of Fixed Income, Currency and Commodities (FICC) Strategy, Standard Chartered Bank
- Ray Heung, Senior Investment Strategist, Standard Chartered Bank

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