Investors shrug off political risk in emerging markets
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In this article
- Russian woes
- Rouble weakness
- Default risk
- Investment down
- Ukraine tensions offset by 'reach for yield'
- EM inflows
- Asia and Latin America lead
- Eastern Europe resilience
- Monetary policy push
- Global bond market rally
- Market correction risk
- Standoff still poses risks as EM sentiment remains fragile
- Shaky fundamentals
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