Global asset allocators cut risk amid eurozone debt concerns

Investors trim emerging market exposure and allocations to equities and commodities while raising cash and bond holdings, finds the latest BoA-Merrill Fund Managers survey.


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September 2016 Magazine
AsianInvestor Magazine

What's in this issue

Expanding ESG in Asia
Q&A: Jupai Holdings
The Brexit fallout for fund managers
Chinese hedge funds step offshore