Merk: China’s Currency Shift Means ‘New Era,’ More Volatility
Currency manager Axel Merk debunks a few myths and lays out what to expect with the reform-minded government and its yuan strategy.
Bill Gross Bond Rally Revives in September Following August Loss
Weakness in China means support for long-term Treasuries, the Janus Capital fund manager argues.
Hedge Funds Bloodied by China Rout in Worst Month Since 2011
Some of these investments had their worst performance since 2011, suffering double-digit losses.
Beyond Greece and China: Expect a Volatile Passage
The serial bursting of market bubbles is far from over.
Gundlach: Less Than 25% Chance of Fed Rate Hike in September
The DoubleLine CEO sees lots of volatility around and maintains his long-held belief that Greece will exit the euro.
MSCI Defers China Inclusion, Opts to Work With Regulator
Issues over the addition of A-shares into the global benchmarks have not yet been fully resolved.
Chinese Stocks: Too Hot to Handle?
A continued equity bull market in the Asian nation depends on several important catalysts.
Time for a BRIC Breakup
The inability of Brazil, Russia, India and China to collectively outperform peer emerging market nations indicates that something is badly amiss with the BRIC concept.
China’s Oil Refining Rises to Record as Plants Complete Repairs
The world’s second-largest oil consumer refined a total of 502.77 million tons in 2014, up 5.3% from a year ago.
With Low Prices, Should Wine Collectors Take a Sip?
The market appears to be stabilizing after a Chinese crackdown on corruption led to a price drop.