This topic is advance for me.
I don't know if I'm worry unnecessary or I should ?
US is doing 'unlimited' QE now and Malaysia going to run into MUCH higher deficit (lower GDP but higher debt).
How will the stock market respond/react or affected as a result of too much money chasing too little services and good quality stock?
Your view are welcome.
Created by CHONG Kong Hui | Feb 26, 2015
Created by CHONG Kong Hui | Oct 10, 2012