With financial markets oscillating between resilience and fragility, Fidelity International supports a lower risk appetite while tapping into undervalued opportunities.

With financial markets oscillating between resilience and fragility, Fidelity International supports a lower risk appetite while tapping into undervalued opportunities.
Andy Rothman, investment strategist at Matthews Asia catches up with Natalie Kenway, editor in chief at MA Financial Media, on his recent trip to China and the post-pandemic recovery.
Michael Dyer, investment director at M&G, talks the firm’s multi-asset strategies and why a behavioural approach gives them an edge.
In our first edition of Editorial Board Insights, Fund Selector Asia caught up with Simon Godfrey, head of advisory at Prive Technologies, to discuss investment strategies for 2023.
Both equities and fixed income in Asia are expected to be more attractive in the second half of the year.
Manish Bishnoi will be joining as a co-portfolio manager of the firm’s environmental and opportunities strategies in Asia.
The Swiss private bank also favours government bonds and investment investment grade credit.
The Geneva-headquartered wealth manager also said that investors should be selective when it comes to fixed income.
Could one of Asia’s fastest growing economies be due an upgrade from its frontier-market status?
Banks, semiconductors and ‘green capex’ offer some appealing opportunities in Europe.
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