Bankers, analysts weigh up bond outlook for next half

question px230
By Addison Gong
14 Jun 2018

Asia’s bond market suffered prolonged bouts of volatility in the first half of the year. Bankers, credit analysts and asset managers are trying to shake off the disappointments in both the primary and secondary markets, but the signs are not good. Addison Gong reports.

The first half of the year did not work out exactly as bankers planned. They had just enjoyed a spectacular 2017, when the $350bn of G3 bond volumes in Asia ex-Japan easily set a new record. Although the roughly $140bn sold by Asian issuers in the first half ...

Already a subscriber?

Continue reading this article

Try full access to GlobalCapital

Free trial