Investments
2014: Facing Different Risks and Rewards
Friday 13th of December 2013
Only four months ago markets were worried; concerned about the mid-year growth pause, the US fiscal cliff, German elections, policy change in China, replacement of the Federal Reserve chair and, of course, tapering of US bond purchases. As each event unfolded favourably, equity markets embraced reduced uncertainty. Our portfolio remained fully invested through this period as we focussed on stoc...
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