Investors Less Anxious on Macro Risks: Marshall

Investors Less Anxious on Macro Risks: Marshall Play

Oct. 15 (Bloomberg) -- Robin Marshall, director of fixed income at Smith & Williamson, discusses market reaction to the U.S. government shutdown and potential of breaching the debt ceiling and looks at whether investors have become desensitized to market risks. He speaks on Bloomberg Television’s “The Pulse.”

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