On the Rebound?
Overview
We remain vigilant in assessing near-term and longer-term risks, including U.S. austerity, resurfacing of Eurozone tensions, a Chinese economic slowdown, and oil prices/conflict in Iran. Market gains from here will be built on the back of these risks further receding and the maintenance of global economic growth. We have more confidence in the latter but know the former can result in a bumpy ride.