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Outlooks

Arnout van Rijn joins AsianInvestor for a discussion on Asia-Pacific equities and currencies and, in the process, identifies individual stocks with appeal.
By Leigh Powell
2 February 2012
Deutsche Bank expects the CNH bond market to grow over 50% in 2012, with more products launched. It comes as AsianInvestor hosts its third RMB Rising event in Hong Kong today.
By Leigh Powell
12 January 2012
Diversification has become key amid risk-on, risk-off correlation in 2011, but Philip Poole and Bill Maldonado of HSBC Global Asset Management outline reasons for optimism.
By Leigh Powell
10 January 2012
Long/short fared worst and CTA best as Asia strategies sank a combined -8.5% in 2011. But data provider Eurekahedge takes the view that things can only get better this year.
By Joe Marsh | 5 January 2012
Howard Wang of JP Morgan's asset management arm talks up Chinese banking and consumer stocks, while the firm has cut property and financial holdings in Hong Kong and Taiwan.
By Leanne Wang | 5 January 2012
More respondents from Asia than elsewhere expect a global contraction next year, finds a survey, but they are more upbeat about employment and growth prospects at home.
By Joe Marsh | 20 December 2011
With credit hard to come by and stocks looking cheap, Asian convertible bond issuance may be set to increase, says Skander Chabbi of BNP Paribas Investment Partners.
By Joe Marsh | 16 December 2011
Prince Max of Liechtenstein, the CEO of LGT Group, outlines his views on exchange-traded funds, big private banking brands and Asian regulation.
By Joe Marsh | 12 December 2011
Panellists at AsianInvestor's Southeast Asia Institutional Investment Forum yesterday discuss how the renminbi will continue to rise in importance.
By Joe Marsh | 7 December 2011
Andrew Wells of FIL Investments International discusses a potential blow-up in Europe’s CDS market and argues that investors are losing sight of inflation.
By Leigh Powell | 29 November 2011
With emerging market equities increasingly a core portfolio allocation, investors should take a more targeted approach to the asset class, says Robin Thorn at PineBridge ...
By Joe Marsh | 25 November 2011
Percival Stanion, global head of multi-asset portfolios at Baring Asset Management, says investors are waiting for emerging-market monetary easing and more certainty in Europe.
By Jame DiBiasio | 17 November 2011
The CSRC's drive to elevate dividend payout ratios, combined with investors' desire for transparency, potentially spells good news for China equities.
By Leanne Wang | 16 November 2011
Magdalene Miller, manager of SLI’s China Equities fund, expects China’s nouveau riche to ease luxury spending as the property market softens.
By Leanne Wang | 1 November 2011
The region's asset management industry will swell to $4 trillion by 2015 and eventually be the biggest in the world, finds Cerulli. ETFs are forecast to grow rapidly, notably ...
By Leigh Powell | 26 October 2011
Polls
What will be your favoured currency in Year of the Dragon?





   |   View results
US dollar
  30%
 
Japanese yen
  3%
 
Aussie dollar
  12%
 
Singapore dollar
  21%
 
Chinese renminbi
  22%
 
None of the above; gold
  12%
TOTAL VOTES: 166

 
Magazine
Asian Investor Magazine
AsianInvestor
February, 2012