The coming week is an eventful one for investors. The Fed policymakers’ interest rate forecasts through to 2024 will show whether they are turning more hawkish. Also, in focus is China’s measures to contain any fallout from debt challenges at its second-largest property developer. Finally, the German election on 26 September portends to alter the policy space in Europe. Each of these events offers medium-term investors attractive opportunities.
Speakers:
- Marco Iachini, Cross-Asset Strategist, Standard Chartered Bank
- Manpreet Gill, Head of Fixed Income, Currency and Commodities (FICC) Investment Strategy, Standard Chartered Bank
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