Maintaining our pro-risk stance 3
Our forecasts 6
Key themes and recommendations 7
Equities: Overweight over both 3 and 12 months 8
Themes and basket implementations 11
Our sector views 12
Commodities: Complacency masks risks to the new equilibrium 14
Credit: The search for yield has less to find 18
Global Bonds: Markets Turning Less Defensive 21
FX Outlook: A glance at 2013 and beyond 27
How we construct our asset classes 32
Disclosure Appendix 34
2013-01-12_高盛高华_GOAL:全球资产投资机会定位——风险偏好仍较高,但下调商品配置至标配.pdf
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