World

By Sameera Anand | 14 November 2007
Howard Marks and William Kerins from Oaktree Capital discuss the firm's global investment strategy and explain why subprime contagion could still spread.
By Nick Ferguson | 9 August 2007
Listed institutional investors such as insurance companies and commercial banks have seen their stocks pummelled but there is little evidence to support bears' worries.
By Nick Ferguson | 28 June 2007
Alpha Pairs fund leverages Croci stock-picking methodology to deliver stable returns that aren't correlated to traditional investment classes.
By Jame DiBiasio | 27 June 2007
But despite their combined $4.3 trillion of the global market, the industry remains surprisingly fragmented, says Scorpio.
By Nick Ferguson | 19 April 2007
The world's first public long/short CCO offers diversification, a triple-A rating and super-charged returns.
By Sameera Anand | 26 March 2007
Indian portfolio management and brokerage firm, ASK Raymond James, becomes the latest joint venture to dissolve with the US partner choosing to exit the country.
By White & Case | 2 January 2007
Partners at White & Case's global investment funds group explain hot-button issues for hedge funds, ranging from new regulations in Japan to private-equity investments in China.
By Anette Jönsson | 23 November 2006
A slowdown in US consumption and Chinese output will lead to a setback. Protectionist measures from the US are seen as the biggest risk to global markets, says Roach.
By Jame DiBiasio | 3 November 2006
Risk management meets corporate governance for investors.
By Jame DiBiasio | 25 October 2006
Larry Fink discusses integrating Merrill Lynch Investment Management, asset classes and products to build, and competing on a global scale.
By Andrew Peck | 24 October 2006
The Bank of New York gains five new trust offices in Asia under the deal.
By Andrew Peck | 24 October 2006
The Bank of New York gains five new trust offices in Asia under the deal.
By Anette Jönsson | 11 September 2006
The bank hopes to better capture the growth opportunities by adopting the same geographical approach as its largest clients.
By Jame DiBiasio | 8 August 2006
Invesco emerging-market/high-yield bond specialist urges investors to look beyond tight spreads.
By Jame DiBiasio | 8 August 2006
Invesco emerging-market/high-yield bond specialist urges investors to look beyond tight spreads.
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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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What's in this issue

Family offices come of age
Consumer-bank distributors speak
Hedge funds: the next generation