The US is mired in debt and its government lurching from one ‘debt ceiling’ deadline to the next, while the Frankenstein’s monster that is the eurozone once again grapples with spiralling Italian bond yields. How long can sticking plasters be put on top of patches, and where can investors seek attractive opportunities in a macroeconomic and geopolitical landscape that seems to be perpetually in crisis mode? Please join the Jupiter Merlin Team on Wednesday 29 November at 11am to hear their latest views and an update on the Portfolios.