January 30, 2013 11:45 AM to 1:30 PMCasino Nova Scotia, Halifax, Nova Scotia
Format:
In Person
Global markets continued to be volatile in 2012, in the face of uncertainty from the continued European sovereign debt crisis, slowing growth in China and uncertainty in the US. What will 2013 bring? How will markets react to the US “fiscal cliff”? Will bond yields remain at historical lows? Please join us to hear Paul Ferley, assistant chief economist with RBC, address these questions and more as he reviews economic highlights of 2012 and shares his forecast for 2013.