Are China & India the missing ingredients in global bond portfolios?

Diversification prospects

clock • 4 min read

A vast majority of global investors would surely agree that China and India are among the most dynamic and interesting economies in the world, and are set to become increasingly important over the coming decades. But they might be unaware that global bond portfolios often have a zero weighting to these domestic markets, whether investing in global or emerging markets, writes HSBC GAM's Geoff Lunt.

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