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a) Discuss the reason why investors are pumping in cash to the bond funds regard for valuation or risk? (15 marks)

b) What could be possibly go wrong if investors continue buying in the fixed income market? (you may give example by referring to the previous incident. Eg. past financial crisis). (15 marks)

c) Assuming you are professional fund manager, what will be the best investment strategies that can be adopted to assist client to invest their money at this point of time? (Guideline: Geographical areas, asset classes, sectorial play, etc)(20 marks)

Subject: Business, Finance

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