Global markets are now at a crossroads – having been shaken by fears over the impact of the coronavirus outbreaks, with government bond yields hitting record lows and equity markets experiencing extreme volatility.
The spread of the coronavirus has escalated to a global pandemic. Policy makers are doing all they can to mitigate the adverse effects of the outbreaks. Indeed, the extreme market volatility reflects sharp changes in consumer behaviour and confidence, against a backdrop of economic uncertainty.
Can the economy recover from the impact of the virus outbreak? How should investors be positioned in such uncertain times? Join us on Thursday, 26 March at 11am (GMT+8) to gain insights on how to navigate this extreme market volatility.