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Case File
d-25303House Oversight

J.P. Morgan Global Asset Allocation Note (Nov 9, 2012) on US Election Impact

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The document is a routine investment outlook discussing asset allocation after the 2012 US election. It contains no specific allegations, financial flows, or links to influential actors beyond generic J.P. Morgan maintains overweight stance on equities and credit despite election outcome. The note underweights US equities, shifting focus to EM Asia and European credit. Mentions fiscal cliff negoti

Date
November 11, 2025
Source
House Oversight
Reference
House Oversight #026572
Pages
2
Persons
9
Integrity
No Hash Available
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