As China’s economy reopens, its impact on global markets cannot be understated.

As China’s economy reopens, its impact on global markets cannot be understated.
Equities are poised to rebound next year amid recession fears, said the British asset manager.
India offers investors upside surprise but it does come at a premium.
Floating rate fixed income instruments are likely to outperform their fixed rate peers as the UK asset manager expects tightening monetary policies to continue.
FSA interviewed professionals from various asset managers regarding President Xi Jinping’s speech on Sunday and the implications for different sectors.
As part of a new initiative, FSA is talking to market participants about key trends that shape fund selection. In this week’s Q&A, David Choa, head of Greater China equities at BNP Paribas Asset Management, talks about investment opportunities and the application of ESG criteria to investing in Chinese equities.
PGIM’s global head of ESG discusses the Singaporean model for ESG disclosure and the SEC’s proposals on the labelling of ESG funds.
BNP Paribas AM bullish on Asian investment grade debt.
Invesco sees increasing popularity of fixed income and US equities ETFs.
Part of the Mark Allen Group.