SINGAPORE, Nov 14 (Reuters) - Following is the view from Reuters Asia editors on the news that is likely to matter most this week: ASIA MARKETS OUTLOOK Whether it is just an opportunity to correct recent market patterns or something more deeply bearish, investors have decided that a period of avoiding risk is in order. As a result, the combination of the Group of 20 nations being unable to solve their disagreements over global imbalances and resurfacing fears about the euro zone periphery's ability to manage its debt could mean the coming week will be volatile. A lot may depend on whether European Union officials do anything to ease pressure on Ireland's finances. Markets swung around on Friday on rumours of a bailout, later denied, so the EU finance ministers meetings on Tuesday and Wednesday should get even more attention than usual. But even beyond that, the risk rally that began in May and took off in earnest in late August when...
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