Skip to main content
Manulife corporate logo
man on phone

Start planning with GoalReady calculator

Compute how much you need to set aside to help you achieve your goals.

Untitled design - 1

Get affordable life insurance today.

Manulife offers plans that fits your budget and protection needs.

friends on beach

Grow with your goals!

Let us help you grow with our life insurance plans and investment solutions .

manulife app

Enjoy all-in-one convenience with the App

Manage your policies, payments, and more anytime, anywhere...

stock market prices

Your investment journey starts today.

Start an investment for as little as PHP 5,000 or USD 100!

Global risk-off market sentiment prevails

Posted:

Updated:

Endre Pedersen, Chief Investment Officer Fixed Income, Asia ex-Japan
 

Endre_Pedersen.jpg

Investors have reacted in a risk-off manner to the uncertainty surrounding the economic impact of the coronavirus outbreak. Endre Pedersen, Chief Investment Officer, Fixed Income (Asia-Pacific), believes that Asian fixed income markets are awaiting further information to assess the economic impact on China and the rest of the region.

The recent decline in US Treasury yields confirms the team’s view that US Treasury yields would likely remain range-bound. This scenario gives investors the opportunity to trade the range tactically. The US Federal Reserve (Fed) continues to monitor the potential risks to both the US and global economy; however, we believe that the current impact of the coronavirus outbreak should not impact the previously communicated Fed policy on interest rates. 

Gaming sector and tourism-related credits most affected, so far

In Asian credits, we have seen some spread widening offset the gains in Treasuries, with highyield (HY) credits underperforming investmentgrade (IG) issues in the US-dollar market. Certain at-risk sectors (see below) have driven the underperformance of HY relative to IG. We are not surprised by this trend in the current uncertain market environment, given the very strong start in Asian credits year-to-date.

Local-currency regional government bond yields have trended lower, which also reflects the uncertain economic backdrop. Chinese government bonds are the most likely to maintain these gains, as the People’s Bank of China is expected to provide additional policy support in the coming months.  

With the majority of its bonds in the HY space, Macau gaming has been the most impacted of the meaningfully sized sectors so far1 . Tourism and retail-related areas of the market (including car rental and shopping-mall operators in China) are also likely to be directly affected2 . We are closely monitoring the situation and developments.

Asian currencies are generally weaker against the greenback

Asian currencies have broadly weakened against the US dollar due to the economic implications of the spreading virus. The Thai baht has been the worst performer so far, reflecting Thailand’s dependence on tourism. We expect that the Chinese renminbi will set the direction for other regional currencies, with the potential for lower near-term growth in China impacting the Korean won and Singapore dollar. The high-yielding South Asian currencies, such as the Indonesia rupiah, India rupee, and Philippine peso, have remained resilient and are showing relatively little impact at this point. They are likely to perform well in a low global interest rate environment. 

The trajectory of the virus will drive the market’s reaction

Overall, the spread of the coronavirus has introduced significant uncertainty and volatility in the Asian bond market. While the SARS outbreak in 2003 provides a convenient analytical comparison, we believe that the current situation is very different. In addition to the different characteristics of the coronavirus, the Chinese economy has changed (both in size and composition), and the response of government authorities to contain the spread has been relatively swift. That said, it is difficult to assess the impact relative to SARS without further information.

Beyond the immediate reaction, we believe that regional fixed-income markets are awaiting further information to fully assess the economic effects on China and the rest of the region. At this point, it is difficult to know how long the uncertainty will persist. We will also continue to monitor the events closely, and if markets experience meaningful spread widening, this may be a buying opportunity for Asian credits.

 

Download full PDF

 

1 The Macau gaming sector accounts for roughly 1.2% of market capitalisation of the J.P. Morgan Asia Credit Index (JACI), as of January 2020.
2 Gaming, retail and tourism collectively contribute 1.4% of market capitalisation of the JACI, as of January 2020.

Market And Investment Notes A “hawkish pause” signal from the Fed Read more
Market And Investment Notes Asia-Pacific (ex-Japan) equities: Strategic opportunities amid a diverging landscape Read more
Market And Investment Notes After four interest-rate hikes, what will the Fed do next? Read more
Market And Investment Notes AP-REITs: Resilience amid strong fundamentals Read more
Market And Investment Notes Asia Pacific REITs - Long-term fundamentals should not be overshadowed by short-term flux Read more
Market And Investment Notes China’s policy tailwinds set economic recovery in motion Read more
Market And Investment Notes Beyond the Fed’s hawkish “pause”: three macro elements to consider Read more
Market And Investment Notes Asian Fixed Income: Seizing the opportunity Read more
Market And Investment Notes Banking stress has created a yield premium for preferred securities Read more
Market And Investment Notes Coronavirus update - A material economic reassessment Read more
Market And Investment Notes China credit watch: First de facto offshore default for a Chinese SOE since 1998 Read more
Market And Investment Notes China and Hong Kong equity markets tested by a “perfect storm” Read more
Market And Investment Notes Thoughts from macrostrategy team – Coronavirus: What does it mean for investors? Read more
Market And Investment Notes China rolls out measures to support economic growth Read more
Market And Investment Notes Assessing the contagion risk from ongoing banking concerns to Asia Read more
Market And Investment Notes Preferred securities: From active management to sustainable investing Read more
Market And Investment Notes Asian Short Duration Bonds: One of the ways to put your cash to work Read more
Market And Investment Notes Asian equities: opportunities in a diverging market landscape Read more
Market And Investment Notes Asian fixed income should take geopolitical events in its stride Read more
Market And Investment Notes Market Note - Tariff threat trips the circuit breaker, setting the scene for a 50 basis points Fed rate cut in September Read more
Market And Investment Notes Southeast Asia — a bright spot in a challenging environment Read more
Market And Investment Notes Q&A: The role of Asia-Pacific bonds in an investor’s portfolio Read more
Market And Investment Notes Rising bond yields and market correction Read more
Market And Investment Notes Investment note - Sino-US Trade tensions enter a new phase Read more
Market And Investment Notes Southeast Asia – vulnerable for now, but resilient over the longer term Read more
Market And Investment Notes The Russia-Ukraine crisis and its implications for EM Asia and China Read more
Market And Investment Notes In focus: U.S. inflationary forces Read more
Market And Investment Notes Long-term structural strengths and resilience of Indian economy to continue despite cyclical challenges Read more
Market And Investment Notes Positioning in the looming stagflation environment Read more
Market And Investment Notes Bank failures—unexpected events make investment decisions difficult Read more
Market And Investment Notes India Equity Thought Leadership: Transitioning to India’s next stage of growth Read more
Market And Investment Notes Market note: Latest tariff threat could derail a Sino-US trade deal Read more
Market And Investment Notes Assessing China’s latest stimulus measures Read more
Market And Investment Notes Indian equities: Two powerful drivers propel long-term growth prospects Read more
Market And Investment Notes A framework for navigating a massive uncertainty shock Read more
Market And Investment Notes The fog of uncertainty has thickened Read more
Market And Investment Notes Food price inflation: 10 implications Read more
Market And Investment Notes Q&A with the Portfolio Manager: Global Healthcare Equities Read more
Market And Investment Notes From coronavirus to credit market stress Read more
Market And Investment Notes Global Healthcare: Spotlight continues to shine on the sector Read more
Market And Investment Notes Market Note - G20 Meeting Recap: Seven Macro Takeaways Read more
Market And Investment Notes Global risk-off market sentiment prevails Read more
Market And Investment Notes How can multi-asset investing help today's income-seekers? Read more
Market And Investment Notes Hong Kong/Mainland China market update Read more
Market And Investment Notes The impact of coronavirus on Chinese equities Read more
Market And Investment Notes How is the surging US dollar affecting Asian currencies? Read more
Market And Investment Notes How should investors approach the upcoming U.S. election? Read more
Market And Investment Notes After elections: What’s next for India? Read more
Market And Investment Notes Greater China Equities Q&A Read more
Market And Investment Notes The FED's historic stimulus package Read more
Market And Investment Notes The Fed’s rate decision: Not so surprising, but what’s the path forward? Read more
Market And Investment Notes Market note: The Fed strikes a dovish tone Read more
Market And Investment Notes With Fed easing potentially on hold, what does this mean for fixed-income investors? Read more
Market And Investment Notes Financial markets and the U.S. election Read more
Market And Investment Notes Emergency interest-rate cuts are here Read more
Market And Investment Notes Flight of the Doves Read more
Market And Investment Notes Market Note - The Fed’s next chapter: this is no regular interest-rate cut Read more
Market And Investment Notes In Focus: The Russia-Ukraine crisis could bring global impact and spillover effects Read more
Market And Investment Notes Manulife Asia Pacific REIT Fund of Funds Read more
Market And Investment Notes Multi-asset income: in pursuit of higher yields in a low growth world Read more
Market And Investment Notes Did markets overreact to January’s U.S. inflation data? Read more
Market And Investment Notes Monetary tightening amid heightened uncertainty: implications for emerging markets Read more
Market And Investment Notes An income-oriented solution in a higher-yielding environment Read more
Market And Investment Notes The Fed starts easing: Potential tailwinds for high-quality US credits Read more
Market And Investment Notes Making Sense of the Market Rebound Read more
Market And Investment Notes Macro anchors shaping the global growth outlook Read more
Market And Investment Notes The Fed remains hawkish, but easing could occur before the end of 2023 Read more
Market And Investment Notes Navigating the regulatory environment for China equities Read more
Market And Investment Notes The potentially defensive properties of Asian equities Read more
Market And Investment Notes Philippine Elections: What’s next for the Philippine Equity Market Read more
Market And Investment Notes Q&A: Potential market impact of a US government shutdown Read more
Market And Investment Notes The pause before the pivot: positioning bond portfolios for an evolving policy landscape Read more
Market And Investment Notes The Age of AI: Economic Impact and the AI Investment Universe Read more
Market And Investment Notes The Fed reiterates its hawkish bias Read more
Market And Investment Notes Vaccine for COVID-19: Is the wait finally over? Read more
Market And Investment Notes Why China's rising tide may not lift EM boats Read more
Market And Investment Notes What does a strong U.S. dollar mean for global growth? Read more
Market And Investment Notes Will the Fed's approach to interest-rate hikes trigger a U.S. recession? Read more
Market And Investment Notes Why Asia is likely to escape the global inflation scare Read more
Market And Investment Notes US inflation outlook Read more
Market And Investment Notes Quick thoughts on US reciprocal tariffs Read more
Market And Investment Notes Quick comments on Moody's cut US credit rating Read more
Market And Investment Notes US interest-rate cut Read more
Market And Investment Notes Solutions for navigating market volatility amid U.S. tariff changes Read more
Market And Investment Notes The potential impact of the US presidential election on Greater China equities Read more
Market And Investment Notes US-China phase-one trade deal - the devil is in the details Read more
Market And Investment Notes Transitioning to India’s next stage of growth Read more
Market And Investment Notes US economic outlook: macroeconomic headwinds vs. tailwinds Read more
US election - What’s next for Asian markets? Read more
Market And Investment Notes Three questions for the Fed in the lead-up to its March meeting Read more
Market And Investment Notes US dollar outlook - moving from strength to weakness Read more
Market And Investment Notes US China trade agreement, UK election, Fed easing - stronger base case, but risks remain Read more
Market And Investment Notes Here come the tariffs: why it’s too soon to draw conclusions Read more
Market And Investment Notes US-China trade war - A framework for thinking about new tariffs Read more
Market And Investment Notes Economic and market implications for oil prices Read more
Market And Investment Notes The Impact of US Tariffs on Indian Exports Read more
Market And Investment Notes Manulife Philippines Continues to Advance Impact Agenda with Sustainability and Community Efforts | Manulife Investments Philippines Read more
Market And Investment Notes Quick comments on geopolitical tensions in the Middle East Read more
Market And Investment Notes Fed’s first rate cut of 2025: Implications & takeaways Read more
Market And Investment Notes The implications of recent trade policies on Greater China equities Read more
Market And Investment Notes China’s double pivot — A major shift in China’s COVID and property sector policies Read more
Market And Investment Notes Global Healthcare Equities Q&A Read more
Market And Investment Notes Global Healthcare: Enhanced innovation in a post-COVID environment Read more