Greece’s financial and economic difficulties have been ongoing for some years now. However, recent events involving Greece and its European partners have raised the risk of default and possible withdrawal from the euro.
From a portfolio perspective, our clients have a zero, or close to zero direct exposure to Greek securities.
In our latest Investment Insight article, John Owen, Portfolio Specialist, looks at the Greece crisis and discusses:
- What’s happened so far?
- Our observations
- What the Greece crisis means for MLC investors
by John Owen