Mark Matthews, Managing Director & Head of Research Asia, Julius Baer shares his insights on policy divergence between the US and China, how Chinese companies are placing a greater emphasis on shareholder returns, in part by increasing dividends and buy-backs, what can investors do to build quality exposure when it comes to investing in China and whether there are specific risks they should look out for.
Presented by: Willie Keng
Producer: Yeo Kai Ting (ykaiting@sph.com.sg)
Graphics credits: unsplash & its talented community of contributors

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