The asset manager also finds opportunities in Southeast Asia.
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The asset manager also finds opportunities in Southeast Asia.
Only two actively managed US mutual funds registered for distribution in Hong Kong and Singapore are beating their benchmark over a five-year period.
FSA looks at the Asia Pacific ex-Japan funds that have outperformed both year-to-date and over five years.
Manish Bishnoi will be joining as a co-portfolio manager of the firm’s environmental and opportunities strategies in Asia.
Moody’s latest commentary believes initiatives taken by Hong Kong and Singapore would contribute to carbon transition in the region.
Calastone’s tie-up with WeLab will help improve the efficiency and cost effectiveness of the bank’s digital wealth advisory services.
The fixed income sector took a turn for the worse in 2022.
Equities are poised to rebound next year amid recession fears, said the British asset manager.
PGIM’s global head of ESG discusses the Singaporean model for ESG disclosure and the SEC’s proposals on the labelling of ESG funds.
Only three out of four thematic funds survived in a 10-year period, according to Morningstar data.
Part of the Mark Allen Group.