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

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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.

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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.

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The twin forces rewriting the rules of investing

The twin forces rewriting the rules of investing

Portfolios built for the old world will be severely tested as emerging forces rewrite the rules of investing. The Fiduciary Investors Symposium heard that geopolitical and macroeconomic upheaval, together with the disruption wrought by AI, should force asset owners to rethink the structure and composition of portfolios.

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Infra models under the spotlight

A nuanced environment for modelling cash flows and discount rates in infrastructure comes at a time when pension funds globally are looking to invest more heavily in the asset class. So what should investors be looking out for?

Can America be great (again) ?

An erosion in social cohesion, lack of trust in institutions and lack of social mobility have weakened the fabric of society in the US; and it is these issues that are on trial as the country goes to the polls not who wins or loses, according to Stephen Kotkin, the John P Birkelund Professor in History and International Affairs at Princeton University.

Asset owners report half of all costs

Asset owners are reporting only half of their true total costs according to analysis by CEM Benchmarking exclusively for Top1000funds.com. This means tens of billions of dollars across the industry is not being reported. The authors look at case studies and make suggestions for industry best practice.

RI at core of manager relationships

When leading asset owners work with managers, they incorporate ESG issues into contracts and threaten to terminate relationships due to materialising ESG issues. To help make ESG considerations mainstream in investment management contracts the PRI has released a guide for investors on the manager selection and monitoring process.

Opportunity for FI to be more impactful

As more investors look to align with the SDGs, Andrew Parry, says there is a huge opportunity for the fixed income market to be more impactful and innovative.

Car industry divided by race to zero

The car industry is a stark case study in the unstoppable momentum in a race to zero that will leave behind old-school manufacturers. According to champion of COP26, Nigel Topping, Detroit’s car manufacturers risk Armageddon by staying in the fossil fuel industry while European and Chinese.

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