It would not be an exaggeration to claim that China is the number one worry on the minds of investment management professionals at present.
Whether you are active in developed markets, emerging markets, pan-Asia, or very niche frontier, the ripples of the Chinese slowdown are being felt and debated globally.
Our latest FundForum eMagazine, China: the Impact of Volatility on Liberalisation, provides a snapshot of the current situation in China as it stands, and unpicks some of the key factors at play, including QFII, Stock Connect, mutual recognition, and the growth of the bond market.