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Submit ReviewSteven Major, HSBC Global Head of Fixed Income Research, says it's very difficult to imagine us getting back to 4% on the 10-year. Binky Chadha, Deutsche Bank Chief Global Strategist & Head of Asset Allocation, says the equity market is not pricing in that much in terms of a credit downturn. Jordan Rochester, Nomura G-10 FX Strategist, says there's two big risks to a long EUR-USD view: a rebound in banking data and a rebound in oil prices. David Bailin, Citi Global Wealth CIO & Global Head of Investments, expects earnings to go down - probably between 7-10%. Julie Norman, UCL Centre on US Politics Co-Director, says different interests are at play in regards to China. Get the Bloomberg Surveillance newsletter, delivered every weekday. Sign up now: https://www.bloomberg.com/account/newsletters/surveillance
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