Facing volatility and complex global regulations, investors are adapting their strategies through international ...
Drawn by moderate inflation, low market correlation and resilient structural demand, investors are shifting their Apac real estate allocations into Japanese logistics.
Investors are increasingly adopting mid-market strategies, co-investments and secondary dislocations seeking geographical ...
Investors and policymakers are driving a wave of cross-border capital activity that underscores Asia’s central role in global finance.
The ongoing debate over the pace of AI development has direct implications for portfolio construction and sector exposure in ...
Rising Japanese government bond yields drive institutions to reinvest at home, trimming foreign debt and cautiously adding alternatives.
Japan’s breadth and liquidity are drawing strategic capital, while Korea offers a potentially stronger re-rating, and Taiwan ...
Regional insurers continue to consider private credit, infrastructure debt and asset-backed finance even as their chief ...
Other active investment strategies, including credit and arbitrage also performed strongly, while strategic tilting and real assets underperformed.
Klay Group's Arjun Anand shares the experiences, philosophies and career lessons behind his approach to investing in Asia.
The region's pensions boosted their share of the world’s largest retirement pools to 45.5% in 2025, with assets climbing from ...
Pension funds, sovereign wealth funds and asset managers are stepping up investments in Apac data centres as AI fuels demand ...
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