February 2016 Flash Report

Against a shifting backdrop of slowing but positive global growth, concerns about the efficacy of diverging central bank policies, and potent deflationary forces that include low energy prices and substantial at-risk debt of non-dollar obligors increasingly pressured by a strong US dollar, markets are volatile and struggling to evaluate what might lie ahead. Fears of recession and associated bear markets have predictably caused investors to seek safer havens. As a result, risk premiums have increased as risk assets are suffering significant year-to-date declines.

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