For sophisticated asset owners used to outsourcing private market investments, the new test ahead is becoming how to divest some of their exposure as public markets tumble.
Asian asset owners are less concerned about geopolitical risk but are just as worried as their global counterparts about inflation and rising rates, according to a new survey by Bfinance.
Only 11% of Asia asset owners’ portfolios have been invested in environmental, social and governance assets or ESG-related strategies, says a new report.