In 2018, emerging markets experienced a risk-off period, taking a hit from a combination of rising US interest rates, dollar appreciation and major political tensions pitting the US against China, Russia and Turkey.
Volatile GDP and government shutdown dominating US
If we have learned one thing in more than 30 years of investing in continental Europe it is that it is much more important to be invested in the right companies rather than trying to make top-down calls.
What should investors look out for?
How are companies weathering trade war storms?
Six global names among top ten sellers
Corporates positioned for hardest of Brexits