As we head into the final months of the year, financial markets face new risks. Higher energy prices and rising US Treasury bond yields are forcing investors to re-examine their positions in risky assets that are sensitive to inflation and higher interest rates.
This calls for a much more selective investment approach, compared to the earlier stage of the post-pandemic recovery, when the powerful thrust of coordinated monetary easing by central banks worldwide drove a broad market rally.
In this episode, Jean Chia, ourChief Investment Officer, helps investors navigate the final quarter of 2021 as four major transitions are underway. Tune in to find out more.
For more of our latest market insights, visit: https://www.bankofsingapore.com/insight-listing.html?