Foyston | News

Q4 2015 Global Economic Overview

The year was a challenging one for investors across all asset classes. China’s economy experienced a significant slowdown after more than three decades of strong and consistent economic growth. The Chinese slowdown contributed to a sharp correction in resource stocks, which depressed returns in resource-heavy markets such as Canada and Australia. It also dealt a serious blow to resource-dependent emerging market economies, notably nudging Brazil into recession.

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