Trump victory sends markets haywire, extending the rise in country risk
Investor risk has been rising this year with fears over Brexit, China, the oil price slump, eurozone debts and global conflict weighing heavily on portfolio decision-making. The shock impact of the Republican victory has made the picture even murkier and sent assets into a tailspin.
Unlock this article.
The content you are trying to view is exclusive to our subscribers.
To unlock this article: