Investors weigh risks of China’s $1.9trn credit market

In the the first of two articles on the newly liberalised Chinese interbank bond market, AsianInvestor finds fund managers keen to tap mainland corporate debt but wary of the risks.


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How will you alter your portfolio after the US election result?





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Underweight US
  16%
 
Overweight US
  42%
 
Underweight EMs
  7%
 
Raise cash levels
  20%
 
No change
  14%
TOTAL VOTES: 146
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