October 04, 2021 Fixed-Income Outlook: Zen and the Art of Bond Investing by Scott DiMaggio, Gershon Distenfeld Bond markets are supposed to be placid. But outsized uncertainty in today’s bond markets is putting investors on edge. We make sense of today’s investing landscape. China, Climate Change, Fixed Income, Income, Inflation, Invest for Efficient Income, Responsible Investing/ESG, Rising Rates, Tech & Innovation, Volatility Likes 0 SHARE Bookmarks
September 24, 2021 Could Evergrande Become China’s Lehman Brothers? Probably Not. by Brad Gibson, Jonathan Liang Investor fears have spread beyond Evergrande, causing bond prices to fall across China’s property sector. Here’s why we don’t think Evergrande’s woes herald a systemic crisis. China, Emerging Markets, Fixed Income, Income, Volatility Likes 0 SHARE Bookmarks
September 01, 2021 China’s Green Reforms to Clean Up Dirty Industries Creates Opportunity by John Lin, Samuel Chen While developed countries shape climate agreements, it’s China’s participation that matters most and will impact both climate change and investments. China, Climate Change, Emerging Markets, Equities, Invest for Purpose, Responsible Investing/ESG Likes 0 SHARE Bookmarks
August 23, 2021 China Inc.: Understanding Risk in China’s Credit Markets by Hua Cheng, Ian Chen Our research into Huarong and Evergrande provides insights into the risk implications of Beijing’s government interventions. China, Emerging Markets, Fixed Income Likes 0 SHARE Bookmarks
July 28, 2021 Could China’s Regulatory Crackdown Be Good for Credit? China’s regulatory crackdown led early this week to a dramatic selloff that spread into offshore Chinese credit markets. We see a silver lining. China, Emerging Markets, Fixed Income, Policy & Regulation Likes 0 SHARE Bookmarks
July 28, 2021 Can Onshore Stocks Offer Shelter from China’s Market Storm? by John Lin Chinese stocks have tumbled amid a regulatory crackdown on education and technology companies. We believe the risks are less acute in the onshore A-share market. China, Emerging Markets, Equities Likes 0 SHARE Bookmarks
July 13, 2021 The Renminbi Outlook: The Journey Is the Reward by Brad Gibson With China’s currency at its highest level in three years, investors want to know: Is the renminbi poised to turn? We don’t think so. China, Currency, Emerging Markets, Fixed Income, Policy & Regulation Likes 0 SHARE Bookmarks
May 25, 2021 Deciphering China’s 2060 Carbon-Neutral Plan by John Lin China’s 2060 carbon-neutral framework reveals how Beijing envisions the country’s economic future. As efforts to generate more sustainable growth progress, the transition to a greener economy will create diverse new investment opportunities. China, Climate Change, Emerging Markets, Equities, Fixed Income, Responsible Investing/ESG Likes 0 SHARE Bookmarks
April 28, 2021 Renminbi Outlook: China’s Currency Offers Diversification Opportunity by Brad Gibson As risks shift and economies recover unevenly from the pandemic, investors reassessing their long-term exposures should consider the Chinese renminbi. China, Currency, Emerging Markets, Fixed Income, Policy & Regulation Likes 0 SHARE Bookmarks
January 26, 2021 China’s Uneven Equity Rally Opens New Roads to Recovery by John Lin, Stuart Rae As China begins the year of the Ox, many investors are wondering whether another bull run is possible in 2021. Given that last year’s rally was extremely narrow, we believe many parts of the market still offer pent-up recovery potential. China, Coronavirus, Equities Likes 0 SHARE Bookmarks
December 15, 2020 Could Chinese Bond Defaults Benefit Investors in the Long Run? by Hua Cheng Recent SOE bond defaults signal Beijing’s willingness to let markets price risk more accurately. China, Emerging Markets, Fixed Income, Policy & Regulation Likes 0 SHARE Bookmarks
November 17, 2020 Will US-China Relations Shift Under Biden? China Seems to Think So Consensus appears to be forming among Chinese policymakers that the US-China relationship will change under a Biden administration. We touch on seven expectations. China, Economics, Fixed Income Likes 0 SHARE Bookmarks
October 12, 2020 Will US Sanctions Disrupt China’s Credit Market? by Hua Cheng, Elizabeth Bakarich Escalating trade tensions between the US and China could affect Chinese corporate bonds, but not all credits are vulnerable. China, Emerging Markets, Fixed Income Likes 2 SHARE Bookmarks