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  • Trust, data and due diligence: The new playbook for risk in Asia
    Feb 23 2026

    Business conduct risk management is rising up the agenda. Lisa Long, RepRisk head of product management, explains why, and what Asian investors need to know.

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    5 Min.
  • Asian index-linked insurance survey: entering a new era of diversification and customisation
    Feb 5 2026

    Asia’s life insurers are reshaping their product strategies as new index-linked solutions emerge as a powerful new growth engine for protection and wealth. A joint survey by AsianInvestor and FTSE Russell shows accelerating demand for diversified, multi-asset and risk-controlled exposures that can deliver smoother outcomes across market cycles and greater resilience under evolving regulatory regimes. For insurers willing to move beyond traditional benchmarks, the prize is clear: differentiated products, stronger distribution and deeper appeal to investors.

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    3 Min.
  • HSBC AI Markets: Taking trading to the next level
    Jan 28 2026
    By combining its proprietary data and insights with natural language processing (NLP), HSBC is looking to revolutionise trading and risk management strategies for asset owners in Asia.
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    5 Min.
  • Chasing value, taming euphoria: why private markets matter to Asian allocators in 2026
    Jan 22 2026
    2025 was a year of resilience and record-breaking returns − but also of extreme volatility. As 2026 gets underway, questions abound about the potential market drivers. Will further US rate cuts materialise, or will sticky inflation derail the script? Are today’s tech titans truly rewriting the productivity playbook, or are we witnessing the early tremors of an AI bubble? And could the reopening of the IPO market lift investor confidence in private markets?
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    6 Min.
  • Diversifying in fast-growing markets: A compelling case for Saudi Arabian fixed income
    Dec 18 2025
    As Saudi Arabia pursues new sources of economic growth for the years and decades ahead, investors can explore diversification and returns from exposure to the domestic fixed income market, according to a recent AsianInvestor roundtable with the Public Investment Fund (PIF), State Street Investment Management, and leading investors in Singapore.
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    5 Min.
  • Inside the new pension playbook: managing liquidity, collateral and margin in APAC
    Dec 8 2025
    Rapid AUM growth has outpaced operational maturity across much of the Asia Pacific (APAC) pension fund sector, leaving many exposed as portfolios tilt further into illiquid assets. Strengthening collateral mobility, liquidity planning and connectivity with tri-party infrastructure is now central to long-term portfolio resilience, believe BNY’s Cherry Li and Nehal Mehra.
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    7 Min.
  • Time to shine for EM debt
    Dec 8 2025
    Investors can no longer overlook the performance and influence of emerging markets (EM) in the global economy. After delivering robust returns in 2025 despite global volatility, selective parts of the EM debt universe deserve a bigger role in global allocations, say L&G’s Ben Bennett, head of investment strategy for Asia, and Uday Patnaik, head of Asia fixed income and global EM debt.
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    9 Min.
  • Time to shine for EM debt
    Dec 8 2025
    Investors can no longer overlook the performance and influence of emerging markets (EM) in the global economy. After delivering robust returns in 2025 despite global volatility, selective parts of the EM debt universe deserve a bigger role in global allocations, say L&G’s Ben Bennett, head of investment strategy for Asia, and Uday Patnaik, head of Asia fixed income and global EM debt.
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    9 Min.