Correction Time…?

May 14, 2015

Share Markets have hit a bit of a rough patch in recent weeks following a very good run over the last 12 months.

Key risks which may provide a tougher environment for shares and increased volatility include rising interest rates in the US later this year and the impact of Greece on the Eurozone economic recovery.

Dr Shane Oliver, Chief Economist at AMP Capital, shares some interesting insights into where the market might head from here, and examines some of the risks we might encounter in the foreseeable future.

Click here to see the full article.