Our New York panel of experts discusses risk, upside, trust in the global industry and the outlook for the years ahead.
Our line-up of experts looks at how the Asian asset management industry is faring compared to its global counterparts in terms of diversity, technology and the market risks that make managing a portfolio challenging right now. Chaired by Romil Patel in Hong Kong.
Investors still struggle with asset allocation due to low real returns from bonds. Also discussed are diversity and model portfolios.
Fund managers are trying to move closer to their end investors but, after years of disintermediation, have little customer data and face immense disruption. Our Luxembourg panel discusses tech and the competitive threat.
No-one genuinely expects multi-asset funds to keep up with equities in strong bull markets, our panel is told. So don’t give up on diversification.
Our panel of experts discusses simultaneously generating positive impact and attractive returns, their core investment themes and how impact investing can be done across different asset classes.