World

By Jame DiBiasio | 1 December 2010
The deputy governor of Brazil’s central bank outlines the challenges of maintaining currency stability amid capital inflows and the US-China currency stand-off.
By Leigh Powell | 1 December 2010
BTIG's chief market strategist Mike O’Rourke expects US companies to achieve record earnings growth next year, driving institutional investors back into the equity market.
By Leigh Powell | 26 November 2010
Singaporean Nikhil Srinivasan is promoted from his Asia-Pacific role to a new global remit, relocating to Munich in the heart of the eurozone from the start of next year.
By Leigh Powell | 25 November 2010
Senior investment manager Bruno Lippens sees investing in high-dividend infrastructure stocks as a sound way to counter likely inflation and volatility.
By Leigh Powell | 24 November 2010
Professor Robert Haugen notes how the US monetary base has almost tripled in a matter of months. He recommends low-volatility investing in an environment of rising inflation.
By Leigh Powell | 23 November 2010
The star UK fund manager believes equity investors have until the second half of next year before they enter the danger zone. He also outlines his China views.
By Jame DiBiasio | 22 November 2010
Investors will be keen to snap up inflation-linked bonds issued by emerging markets in the next few years, predicts Pascale Blanque, CIO at Amundi.
By Lara Wozniak | 18 November 2010
Credit Suisse’s investment bank chairman passes away after a battle with cancer.
By Lara Wozniak | 18 November 2010
Credit Suisse’s investment bank chairman passes away after a battle with cancer.
By Jame DiBiasio | 18 November 2010
Global investors must learn to accept volatility and market ‘roadblocks’ if they are to capture the potential of emerging markets, says BNPP executive Vincent ...
By Jame DiBiasio | 12 November 2010
The emerging-markets investment firm argues that global investors should completely avoid the developed world.
By Leigh Powell | 12 November 2010
Clifford Chance and Baker & McKenzie highlight new or upcoming rule changes that Asian fund managers should be aware of in Hong Kong, Singapore, the US and EU.
By Jame DiBiasio | 10 November 2010
Although emerging-market debt is attractive, the bond house is wary of potentially illiquid exposures.
By Leigh Powell | 9 November 2010
The bank becomes the sole global distributor for Kimco International which was founded four years ago and employs a Japanese equity long/short strategy.
By Joe Marsh | 9 November 2010
Fixed-income exchange-traded funds must be actively managed to provide returns to rival equity ETFs, says Lim Heong-Chye of APS Komaba Asset Management.
Quick Poll

The Chinese yuan is:



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Overvalued versus the dollar
  19%
 
Undervalued versus the dollar
  52%
 
At fair value versus the dollar
  29%
TOTAL VOTES: 48
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