The Hong Kong-based asset manager suggests investors can sail through inflation with a mixed asset investment strategy.
Category: Asset Class in Focus
ETFs added to Hong Kong-China stock connect
The preparation work will take approximately six months to complete.
China to broaden stock connect with Switzerland and Germany
The country’s securities regulator has extended the scope of the Shanghai-London Stock Connect scheme.
Barings expects private credit asset class to grow
The firm advises investors to lend to resilient companies in defensive sectors.
Manulife bets on sustainable 2022 recovery
Emerging market and high yield credit should offer opportunities, according to the asset manager.
RBC WM expects a recovery in China equities
Investors should focus on beneficiaries of China’s new growth model.
M&G favours fixed income and infrastructure
The asset manager recommends hedging inflationary risk with the two asset classes.
SSGA underweights China
The Boston-based firm sees the Sino-US rivalry and China’s regulatory tightening as major risks in the country.
Robeco is optimistic on Asia equities
Asian stocks, especially those in the sustainability space, are still undervalued, says the Dutch asset manager.
JP Morgan AM recommends income-oriented portfolio
The manager’s dividend fund is overweighting tech companies and European stocks.