May 22 - Weekly economic publication | Despite the return to calm, risks still abound
This week, we take a look at the risk factors that could bring renewed volatility to the markets: a second wave of COVID-19 and escalating tensions between the U.S. and China.
By Clément Gignac, Senior Vice-President and Chief Economist, and Sébastien Mc Mahon, Senior Portfolio Manager, Diversified Funds and Economist.
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