Asset managers gathered at the FSA Investment Forum Hong Kong and shared their views on the risks and opportunities for investors.
Category: Asset Class in Focus
Commodity producing emerging markets set to shine
As global risk-off sentiment makes bad situation worse for EM equities.
UOBAM launches ESG fund for Malaysian retail investors
The fund provides access to companies in Europe, Australasia and Far East.
iCapital buys Bank of Singapore fund platform
The $5m acquisition of the private market feeder fund platform extends the partnership between the firms.
Rising spending power in Asia generates opportunities
JP Morgan Asset Management remains confident about structural trends in the region.
Headwinds fail to dampen China’s long-term appeal
Its economy is still growing, albeit more slowly, and the government has plenty of levers left to pull.
Alternatives as an inflation hedge
Exposure to commodities could mitigate risks for multi-asset managers.
Global ESG bonds annual issuance to triple by 2025
China to remain dominant in EM ESG bond issuance through 2023, according to Pictet Asset Management.
China bonds have diversification benefits
Western Asset identifies three markets with attractive bond investment opportunities in Asia.
T Rowe Price maintains overweight on Chinese equities
Beijing’s monetary easing policies could make China markets a profitable contrarian trade.