FE’s cautious portfolio continued to be positive last month, driven by exposures in US equities and Asian high yield and emerging market debt.

FE’s cautious portfolio continued to be positive last month, driven by exposures in US equities and Asian high yield and emerging market debt.
The bank’s managing director and senior advisor in Singapore has given his resignation.
Franklin Templeton appointment; Asia’s fund passport schemes struggle; Fund managers buying up A-shares through the Stock Connect and more…
Some preliminary data is in, and the results are ripe for discussion.
This week FSA presents a quick comparison of two North America equity products: the AB Select US Equity Portfolio Fund and the Robeco BP US Premium Equities Fund.
The firm’s growth portfolio rebounded strongly last month with the help of an emerging markets fund that outperformed all products in the portfolio.
This week FSA presents a quick comparison of two China equity products: the Aberdeen Standard SICAV I China A Share Equity Fund and the CSOP FTSE China A50 ETF Fund.
At M&G we believe that the long-term success of companies is supported by effective investor stewardship and high standards of corporate governance.
It has been one year since FSA invested a hypothetical $1m with three robo-advisors operating in Asia. Did they beat their benchmarks? We summarise the one-year performance.
Fund Selector Asia will be hosting our specialist Discretionary Portfolio Forum this August in Singapore.
Part of the Mark Allen Group.