What does it actually mean to be a long-term investor when the ground beneath your feet is shifting faster than your ...
The global economy is increasingly bifurcated between the US, Europe and Asia, and how the growth projections and geopolitical risks between these regions plays out is of increasing interest to ...
Inflation hedging is back on top of the agenda for investors as conflict in the Middle East drives up energy prices globally, but the FIS Singapore heard that many portfolios are not well-prepared for ...
As artificial intelligence models become more sophisticated, asset owners and managers are rethinking portfolio construction ...
The blockage of the Strait of Hormuz has left the world facing another energy crisis and warning bells of a global recession are growing increasingly shrill. Ostensibly, the crisis could also push the ...
Japan’s Government Pension Investment Fund will soon expand the scope of its alternatives database, which analyses the active performance of private market managers, as the $2 trillion pension giant ...
While war weighs heavily on the world’s mind and its portfolio impacts are acutely felt by investors, celebrated geopolitical expert Stephen Kotkin said there is another thing that troubles him even ...
As covenants in US and European private credit become weakened from an increasing flow of lending capital, asset allocators and managers are eyeing Asia as the next frontier due to its relatively ...
Tokenisation of traditional assets will lead to a boom in on-chain trading, and that in turn opens the door to AI-agentic ...