Market discounting low volatility at its peril, warn CIOs

The consensus is still that headline macro risks will trigger bouts of volatility in 2012, but if that’s not the case then portfolios are poorly positioned, argue Manulife AM’s global CIOs.

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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