Special market and economic update
Continuing market volatility and concerns over sovereign default in Europe are doing little to bolster investor confidence, but some of the underlying risk factors have changed since the turmoil began in July.
In November’s market and economic update, QIC’s Chief Economist Matthew Peter explains how the situation has developed over the last four months and provides an insight into the prospects for Europe, the US, China and Australia.
For further information, please contact your QIC relationship manager.

