- "Chinese equities pulled back this past week, with MSCI China falling by 3% and CSI 300 by 1.5%. Market worries stemmed from slightly below expectation July macro releases and CBRC policy changes on moving trust instruments on-balance sheet, which is an incremental tightening move. Defensive sectors like consumer staples performed well onshore and offshore, while energy, financials, industrials suffered."
GoldmanSachs China Weekly Kickstart 20100813
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