The US market has been trending sideways since mid-April, but sentiment in APAC markets seems to be improving on the back of better than expected Q1 earnings reports.
The persistent worry of a US default had translated into a continued preference for risk-averse assets. Will this preference change?
On Money in the Market, Hongbin Jeong speaks to Olivier d’Assier, Head of Applied Research, APAC, Qontigo, to find out more.

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