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BOJ's easing said unsustainable

April 6, 2015--The launch of aggressive monetary easing by the Bank of Japan stunned financial markets two years ago.

But is it still sustainable? If not, how long can it continue?

The main component of BOJ Gov. Haruhiko Kuroda’s monetary easing is the massive purchases of long-term Japanese government bonds from financial institutions.

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Source: Japan Times


India-100 foreign funds get tax demands; total bill may hit $10-bn

April 5, 2015--In the biggest-ever tax demand slapped on them, nearly 100 foreign funds have been asked to cough up an estimated $5-6 billion for 'untaxed '.

made by them in the Indian markets over the past years.

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Source: The Economic Times


TSE head Kiyota to become CEO of Japan Exchange Group

April 3, 2015--Tokyo Stock Exchange Inc. President Akira Kiyota will succeed Atsushi Saito as CEO of the bourse's parent, Japan Exchange Group Inc., sources said Friday.

Saito, 75, will retire after serving as head of Japan Exchange Group for two years since its launch following the merger of the nation's two biggest exchanges, in Tokyo and Osaka.

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Source: The Japan Times


New ETFs Included in Real-Time Dissemination of "TSE Indicative NAV"(DIAM ETF Nikkei225)

April 3, 2015--Tokyo Stock Exchange, Inc. (TSE) will newly calculate and publish the real-time Indicative Net Asset Value (Indicative NAV) per share for the below Exchange Traded Funds (ETFs) on our website beginning April 3, 2015.

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Source: Tokyo Stock Exchange, Inc. (TSE)


BetaShares-Bassanese's Market Insights: Economic outlook-downside risks remain

March 31, 2015--The long hoped for rebalancing in economic growth toward housing construction and non-mining business investment faces new a threat -namely emerging signs of excess capacity in these key sectors.

This adds more downside risk to the economy over the coming year, and affirms our view that both interest rates and the $A have much further to fall.

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Source: BetaShares


S&P Dow Jones Indices-Asia Pacific Index Dashboard

March 31, 2015--The S&P Pan Asia BMI finished March with a 0.8% gain, making it 6.7% for the quarter.

Materials and Energy lagged among S&P Pan Asia BMI sectors in March, with Health Care and Consumer Staples leading the pack.

Japan's financial year ended with the S&P TOPIX 150 up by over 2% for the month, 10% for the quarter and 30% for the year.

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Source: S&P Dow Jones Indices


S&P Dow Jones Indices-India Index Dashboard

March 31, 2015--India's equity markets suffered in March as the S&P BSE SENSEX recorded a loss of 4.6%.
Nonetheless, the markets have completed a positive quarter and, with Indian corporates closing the books on the financial year, the 12-month returns remain stellar.

Financials and commodity-related companies were best avoided this month and this quarter. Health Care, on the other hand, was by far the best performer and achieved a hat-trick: the best-performing sector this month, quarter and financial year.

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Source: S&P Dow Jones Indices


Chinese asset-management growth seen outstripping regulation

March 31, 2015--China's asset-management industry is expanding quickly, spurring a need for more regulation, senior officials say.

Asset management has opened to banks, insurers, brokers and others, and "their standards in regulation are not 100% the same,", said Zhang Hongli, vice president of Industrial and Commercial Bank of China.

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Source: Smart Brief


IMF Working Paper-Assessing China's Corporate Sector Vulnerabilities

March 30, 2015--Summary: This paper documents and assesses the risk stemming from rising corporate indebtedness in China using a firm-level dataset of listed firms. It finds that while leverage on average is not high, there is a fat tail of highly leveraged firms accounting for a significant share of total corporate debt, mainly concentrated in the real estate and construction sector and state-owned enterprises in general.

The real estate and construction firms tend to face lower borrowing costs and could withstand a modest increase of interest rate shocks despite their high leverage. The corporate sector is however vulnerable to a significant slowdown in the real estate and construction sector. Our sensitivity analysis suggests that the share of debt that would be in financial distress would rise to about a quarter of total listed firm debt in the event of a 20 percent decline in real estate and construction profits.

view the IMF Working Paper-Assessing China's Corporate Sector Vulnerabilities

Source: IMF


UPDATE 1-China to let mutual funds buy Hong Kong shares via 'connector'regulator

March 27, 2015--Change to aid stock connect scheme-official
Interest in the Shanghai-Hong Kong link has waned
China's securities regulator said on Friday it would let mainland mutual funds invest in Hong Kong shares via the Shanghai-Hong Kong Stock Connect.

The move may gave some support to the cross-border trading scheme, which has seen dwindling interest from investors.

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Source: Reuters


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