Taimur Baig, Chief Economist
Radhika Rao, Economist
DBS Group Research

For the full report, please click here (PDF, HTML)

  • Bond market sell-off has taken place in strikingly low trading volume
  • A further rise in volatility is likely given the macro outlook, but would likely be exaggerated by the market structure
  • Non-bank financial sector has taken on some chunks of risk taking activities from banks
  • Post-crisis regulatory environment may have made banks safer, but not the entire financial system

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