Managers are divided on what China’s bold new stimulus package means for the nation’s future.

Managers are divided on what China’s bold new stimulus package means for the nation’s future.
HSBC’s Investment & Wealth Solutions has enjoyed an influx of new money as it expands its capabilities.
The lead manager of Robeco’s $1.1bn Emering Markets Equity strategy shares his views on India, China and broader emerging markets with FSA.
M&G’s Asia Pacific CEO explains why the firm is ploughing ahead in Asia despite the cost cutting measures announced globally.
The changing outlook for a handful of large caps could be a gamechanger for often overlooked active funds.
Asia Pacific is leading the way in family office best practices and leadership transition readiness, according to an industry survey.
As investors weigh the implications of the US election on emerging markets, Putnam Investment’s Brian Freiwald is bullish regardless of the outcome.
The highest debt levels on record could make gold a better safety net than bonds, according to these fund managers.
Index providers are in the business of selling indices, not investment strategies – but trillions of dollars are invested in funds tracking them.
The emerging asset class is “credit at its best” according to Mohammed Elmi, emerging market debt senior portfolio manager at Federated Hermes.
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