This week: J. Safra Sarasin believes volatility in Asia equities is likely to surge “significantly”; financial institutions shrug off the near-term impact of the QFII and RQFII quota removal; Deutsche Bank WM cuts Treasury exposure by 2 pps; UBS GWM anticipates more upside for gold; and Standard Chartered PB expects EM HC debt to outperform. J. Safra Sarasin: Volatility in…
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