Hedge Fund Manager David Tawil Sounds Warning On Chinese DebtMark Melin
Suffice it to say David Tawil, co-founder of Maglan Capital, is not a China bull.
Avoid China's bond market as government intervention and debt restructuring presents risks
The New York-based hedge fund manager, who invests in companies struggling to repay their debt, says investors should avoid China’s bond market in the wake of the Asian nation’s first default due to government intervention and debt restructuring could lead to losses. The best . . .
This content is exclusively for paying members. Sign up here
If you are subscribed and having an account error please clear cache and cookies if that does not work email email@example.com or click chat