APAC’s mega trends: The investors positioning for the future

[vc_column width=”1/2″]

APAC strategies: Why active management pays

In a region as diverse as Asia investors can lean in and take advantage of inefficiencies and inconsistencies around growth, central bank policy and diverse regulatory regimes; and asset owners in the region are increasingly finding active management, across all asset classes, optimises returns and reduces risk. Top1000funds.com investigates.

[vc_column_text css=””]

Opportunities in APAC: Diverse and dynamic

The list of reasons to invest in APAC is compelling and institutional investors in the region are increasingly tapping the opportunities. Top1000funds.com looks at the different levels of income, volatility, efficiency and ultimately returns across the region.

Sponsored Content

Leave a Comment

What comes next for US-China relations

What comes next for US-China relations

Investors should expect more friction between Washington and Beijing over technology and Taiwan in the years ahead, according to Jake Sullivan, former national security advisor to Vice President Biden during the Obama administration. Meanwhile, the rise of middle powers is a geopolitical theme to watch.

Sort content by

Russian invasion of Ukraine proves West not in decline: Stephen Kotkin

The Ukraine invasion is an epic tragedy but also an opportunity for the West to re-discover its values and restore neglected relationships with much of the world, according to Professor Stephen Kotkin, an American historian, academic and author.

AI, humans and the new age of asset management

AI cannot yet fully replicate human behaviour in all its dimensions, but if we are able to mitigate the risks that have and will come from multiple sources, it can be a game changer for our industry.

NYCERS eyes more US regional bank risk

The growing divergence between the Fed funds rate and interest rates on checking accounts is increasing the risk of bank deposit outflows for US regional banks. It's one reason why NYCERS' Steven Meier expects more failures and consolidation ahead.

Cashflows and risk management drive PSP Investments

The risk of a deficit is a key driver in the management of PSP Investments as it looks to build resilience and cashflows in its portfolio. Amanda White spoke to CIO Eduard van Gelderen.

CalPERS eyes the alpha opportunities in the green transition

The most compelling alpha opportunities in the transition come from investors buying assets in high emitting sectors and help them green. Brookfield Asset Management's Mark Carney, guest speaker at a recent CalPERS investment committee meeting, lays out the opportunity

BT Pension offers innovative solutions for UK funds battling value leakage

The BT Pension Scheme has rebranded as Brightwell to offer its asset management expertise to the UK's DB funds. Morten Nilsson argues the case for ditching a complex landscape of advisory and asset management services and the buyout model for Brightwell's holistic offering.

Previous