Private Bank Market Update - May 2015

Fri, 29 May 2015

The risk of Greece defaulting on its debt and exiting the Euro seems higher than ever. Is there a way out? Can a “managed default” prevent the inevitable? Or will the Drachma be making a comeback while making a mess of the nation’s standard of living? In his Market Update, Webster’s Chief Investment Strategist, Yves Cochez, unravels the knot of possible impacts and outcomes of this “Greek Tragedy.” You can read it here: Private Banking Insights.

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