Government bonds make up much of the fixed income universe, but this is a problem for bondholders as environmental, social and governance (ESG) factors for countries are less developed than for corporates.
Government bonds make up much of the fixed income universe, but this is a problem for bondholders as environmental, social and governance (ESG) factors for countries are less developed than for corporates.
HSBC Global Asset Management (HSBC GAM) has set up a fixed income fund aimed at investing in a portfolio of high yielding Asian bonds.
MSCI is to add 204 more Chinese companies with A-shares listed on the mainland to its emerging market stock indices.
Three-quarters of 200 chief investment officers at insurance companies say they are struggling to make returns and are increasingly looking towards alternative investments.
Real estate investment manager, LaSalle Investment Management, has launched a Japan property fund with US$560 million of initial equity commitments from Japanese investors and loans extended by Japanese financial institutions.
JP Morgan Asset Management’s (JPMAM) Pacific Technology Fund has been cleared for northbound distribution under the Mainland-Hong Kong Mutual Recognition of Funds (MRF) scheme.
At times like these, HSBC Asset Management easily pivots towards emerging markets.
The spotlight on growth markets and the need to be nimble and dynamic is ever-sharper, given the difficulty in predicting monetary policy in the world’s major nations.
A comprehensive, cost-effective, and transparent currency overlay hedging solution is crucial to mitigate FX exposure risks in the complex landscapes of Japan and China's FX markets, explains Hans Jacob Feder, PhD, global head of FX services at MUFG Investor Services.
The world is transitioning from an era of commodity abundance to one of undersupply. Ben Ross and Tyler Rosenlicht of Cohen & Steers believe this shift may result in significant returns for commodities and resource producers over the next decade.
Ross Dilkes, fixed income portfolio manager at Wellington Management, examines the opportunities and risks for bond investors presented by the region’s decarbonisation agenda.
Shareholders in Japan no longer accept below-par corporate governance standards. Changes are taking place, but there are still areas for improvement, says Tetsuro Takase at SuMi Trust.
Robert St Clair, head of investment strategy at Fullerton Fund Management, explores the reasons investors should be paying attention to the rising demand for healthcare in China.
David Hunt, president and chief executive of PGIM, tells Romil Patel about leading a top 10 global asset manager in times where “empowering and encouraging the kind of investment decisions as...
Nicolas Moreau, CEO of HSBC Asset Management, is moving to Asia as the firm looks to connect more directly with the region’s growth story. ESG is also a key focus – including the ‘just’ carbon...
Funds Europe, the sister publication of Funds Global Asia, hosted an India investment discussion with two seasoned experts and asked if India is the ‘last one standing’ from the Brics phenomenon. We also hear that for India, the inclusion of Indian bonds in a major index may not be the desired...
Strong ESG credentials strengthen the case for Singapore as a leader in Asia of the post-Covid recovery. Our panel discusses the risks and opportunities.