The launch marks a key step in bringing digital assets into the institutional mainstream, solidifying the asset manager's role in bridging blockchain and traditional finance.
As the US dollar loses strength and tariffs become a relevant factor, Sam Yu, chair of the Hong Kong Investment Funds Association, highlights a growing trend among investors exploring private credit in new geographies for diversification.
JRT Partners' CIO Tuck Meng Yee sees tactical opportunities across private credit and private equity, while steering clear of overvalued segments and emphasising timing and selectivity.
The private equity firm's acquisition of ProTen, a key player in Australia’s chicken farming industry, is set to scale operations and bolster the nation’s food security.
A growing wave of institutional capital across Asia—spanning family offices, hedge funds and sovereign wealth funds—is reshaping digital asset markets.
The country's public fund managers are grappling with new pressures as government spending hikes and market uncertainties challenge traditional views about stable cash flow.
South Korea's sovereign wealth fund is evolving beyond traditional asset allocation approaches as rising correlations between asset classes and unprecedented market volatility demand more dynamic risk management.
North America and Europe dominate the private debt market globally, but Asia-Pacific's fast-growing economies offer fertile ground for expansion in the asset class.
Asia’s family offices are shifting into direct co-investments, driven by a mix of entrepreneurial legacy, rising sophistication and the search for higher returns and control.