Chinese companies undergoing business strategy changes may provide ‘phenomenal’ investment opportunities, according to Caroline Maurer, head of Greater China equities at BNP Paribas Asset Management.
Tag: BNP Paribas Asset Management
Will volatility boost fixed term fund appeal?
BNPP AM has raised $170m from private banks in the region for a fixed maturity plan, according to Karan Talwar, Hong Kong-based investment specialist for emerging market fixed income.
Video: FSA Investment Forum Singapore 2018
We present video highlights of the FSA Investment Forum in Singapore, which was held on 30 October at the Mandarin Oriental Hotel.
FSA Investment Forum Singapore 2018
We present photo highlights of the FSA Investment Forum in Singapore, which was held on 30 October at the Mandarin Oriental Hotel.
Has EM high yield become vulnerable?
Rising interest rates have made it harder for companies to find sources of funding, according to Alaa Bushehri, London-based portfolio manager for emerging market fixed income at BNP Paribas Asset Management.
In case you missed it (24 August 2018)
Barings creates head of APAC and China roles; Deutsche AM names head of APAC alts; BNPP AM to offer ESG funds to Hong Kong’s retail investors; JP Morgan AM in Australia excludes tobacco stocks; Japan messaging app Line launches $10m crypto fund; and more…
Can Wechat help with branding in China?
BNP Paribas Asset Management has followed several other foreign asset managers in launching a Wechat account in China, according to Janis You, Hong Kong-based Asia-Pacific head for brand and communications.
Neuberger Berman obtains QDLP license
NB’s wholly foreign-owned enterprise (WFOE) in Shanghai has received approval for the qualified domestic limited partnership (QDLP) scheme.
The long road toward ESG integration
Integrating ESG in the investment process is easier said than done and will vary from one team to another, according to industry sources.
The promise of absolute return strategies
Absolute return fixed income strategies are meant to be a component of a portfolio that reduces overall risk, according to Alex Johnson, BNP Paribas Asset Management’s New York-based head of multi-strategy for absolute return fixed income.