Inflation is not transitory, therefore investors should factor in inflation when constructing portfolios, according to the European fund manager.
Category: Rest of APAC
China ESG assets power regional fund growth
Sustainable fund assets in Asia ex-Japan reached a new high in the third quarter of 2021, Morningstar data shows.
Apac investors have faith in sustainable investing
Investors are seeing the benefits of adding sustainable investing (SI) into their portfolios, the latest UBS investor sentiment survey shows.
AIIB sets climate change targets
The Asian Infrastructure Investment Bank (AIIB) will align its public and private financial flows with the goals of the Paris Agreement.
Pinebridge bets on India
The US asset manager is picking stocks from the tech and finance sectors in India.
Companies employ more female executives
There is improvement in gender diversity among senior executives and in boardrooms, but more needs to be done in Asia, according to Credit Suisse.
Patience needed to weather China volatility storm
Chinese markets will stay unstable for the rest of the year as policy makers’ intentions remain uncertain, says JP Morgan Asset Management’s (JPMAM) Apac strategist.
Stashaway targets mass affluent in Asia
The Singapore-based digital wealth management firm is using technology to attract investors in the region.
Apac yields good outcomes for retirees
Despite Covid-19, Asia Pacific has recorded strong performance for retirees in 2021, according to the latest Global Retirement Index (GRI) from Natixis Investment Managers (Natixis).
Crux taps Martin Currie for deputy manager in Asia team
Damian Taylor named deputy manager on two upcoming growth strategies focused on Asia ex-Japan and China, according to FSA’s sister title, Portfolio Adviser.