Since the height of the Eurozone public debt crisis in September/October 2011, global shares are up 58% and Australian shares are up 37%. After such strong gains an obvious issue is whether shares have got ahead of themselves, leaving them vulnerable to a fall. This note looks at the risks.
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The-risk-of-a-correction-or-new-bear-market-in-shares
Article by Dr Shane Oliver, Head of Investment Strategy & Chief Economist, AMP Capital