Portfolios are turning to pan-Asian strategies to leverage the region's diverse developed and emerging markets for low-correlation returns, according to a report by Moody's Ratings.
APAC allocators are recalibrating their portfolios to focus on compelling valuations, the infrastructure boom and a rising regional appetite for private credit, according to a report by Preqin.
APAC’s mix of geopolitical volatility, youthful demographics, and rapid technological change makes it both a testing ground and a treasure trove for global investors.
As the region’s digital infrastructure strategies evolve, the ability to deliver AI ready facilities at scale will determine which markets lead and which fall behind.
Asia-Pacific is channelling record levels of capital into transition aligned sectors as governments prioritise energy security and clearer decarbonisation standards take shape, according to a new report.
The APAC region's exchange-traded fund market closed 2025 at a record $2.43 trillion, powered by China’s fixed-income boom and surging demand for gold.
Australia's third-largest pension fund has built one of the sector's most concentrated digital infrastructure allocations through early conviction formed before the GenAI boom.