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Case File
d-22886House Oversight

J.P. Morgan Global Asset Allocation Outlook – November 2012 Market View

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The document is a routine investment research report providing market forecasts and portfolio positioning after the 2012 U.S. election. It contains no specific allegations, financial flows, or miscond J.P. Morgan underweights US equities and credit, shifting risk to Europe and EM Asia. Expectation of fiscal‑cliff negotiations to increase USD strength. No mention of any illicit activity, political

Date
November 11, 2025
Source
House Oversight
Reference
House Oversight #026572
Pages
17
Persons
0
Integrity
No Hash Available
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