The growing appeal of Chinese assets to foreign investors will result in overweight positions in domestic equities and bonds going forward, argues Amundi Asset Management.

The growing appeal of Chinese assets to foreign investors will result in overweight positions in domestic equities and bonds going forward, argues Amundi Asset Management.
The shift towards a low-carbon economy will be faster than many investors expect.
This week FSA presents a quick comparison of two emerging markets equity products: the Amundi Emerging Markets Equity Focus Fund and the T. Rowe Price Emerging Markets Equity Fund.
Investors in emerging markets (EM) should apply artificial intelligence (AI) to unstructured data for better ESG analysis, says a report from Amundi and the International Finance Corporation (IFC).
Longer term investors need to be patient as the market for Special Purpose Acquisition Companies (Spacs) undergoes much-needed maturity, believes Amundi Asset Management.
FSA compares two fixed income products: the Amundi Global Aggregate Bond Fund and the Pimco GIS Income Fund.
UOB loses; Value Partners gains; Amundi’s profits; Morgan Stanley’s JV; In defence of Abrdn; VanEck mines digital; Blackrock’s market cap dominance; advertising and much more.
The asset manager also has a wealth management joint venture with BOC Wealth Management.
UOB creates chief sustainability officer role; Natixis IM appoints new CEO; Barings hires for institutional distribution; T Rowe Price names Apac operating officer; and more…
This week FSA presents a quick comparison of two high yield fixed income products: the Amundi Funds Global High Yield Bond and the Principal Global Investors Global High Yield Fund.
Part of the Mark Allen Group.