Alessia BERARDI, Debora DELBÓ, Abhishek GON, Karine HERVE, Yerlan SYZDYKOV
the articles & research center news
Different types of risks are causing investors concern: a bond crash, the end of the cycle in the United States, a hard landing in China, a Grexit, a Brexit, etc. Against this backdrop, should we review our asset allocation? Not based on the fundamentals. .
Head of Macroeconomic Research