Mei Tuicolo

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Reporter - Fixed Income, FinanceAsia

Mei Tuicolo is responsible for covering fixed income for both the website and the magazine. Prior to joining the FinanceAsia team as a reporter in January 2010, she was a risk analyst for the Royal Bank of Scotland (ABN AMRO Bank N.V.) both in Hong Kong and Amsterdam. Mei has a Bachelors of Science degree from the University of Queensland and Bachelors of International Business (Econ) degree from Griffith University, Australia. This is Mei's first stint as a writer.



Recent articles by Mei Tuicolo

John Greenwood, chief economist at Invesco, speaks about the impact of the sovereign debt crisis on developed economies and the strategies needed to get them out of it.
29 July 2010
The five-year outlook for Asia remains positive provided the region heeds the lessons learned in the US and moves towards opening up onshore markets to offshore investors, say ...
12 July 2010
In a world of deficient demand, Asia continues to fend off the fallout from the global sovereign debt crisis, participants in a panel discussion say.
7 July 2010
Harvard's Kenneth Rogoff shares his views on the European debt crisis and how transparency is the barrier to finding out just what is happening in the China property sector.
4 June 2010
Victor Shih of Northwestern University speaks about the ambiguous boundary between public spending and corporate debt.
6 May 2010
Yu-Tsung Chang, head of Asia-Pacific ratings at Standard and Poor’s, talks about the role of rating agencies in Asia’s credit markets.
9 March 2010
Polls
Inflation in 2012 will


   |   View results
Be a non event
  43%
 
Challenge emerging markets
  43%
 
Surprise globally
  14%
TOTAL VOTES: 7

 
Magazine
Asian Investor Magazine
AsianInvestor
February, 2012