Business conduct risk management is rising up the agenda. Lisa Long, RepRisk head of product management, explains why, and what Asian investors need to know.
Retail and private wealth inflows into private credit are altering scale, pricing and liquidity dynamics across the asset class, forcing institutional investors to adapt.
Rapid growth in private credit is outpacing investors’ ability to fully gauge risk, with valuations, liquidity and regulatory oversight under the spotlight.
The fund prioritises maximising returns within a defined risk tolerance, emphasising flexibility and global diversification in its investment strategy.
Japan's financial regulator assesses life insurers' offshore reinsurance practices, particularly with Bermuda-based firms, revealing a cautious approach by Japanese insurers amid evolving regulatory landscape.
The investment arm of the World Bank is reshaping Asian markets by strengthening governance, powering private investment and dismantling market barriers.
One of Australia’s oldest superannuation funds has enlisted the help of quant and systematic trading specialists Premialab to evaluate risk, performance and fees.
The Evergrande crisis and government clampdowns has cast a pall over China investment. While one fund is putting investment on hold, another says it's staying the course.
Institutional investors are unfazed by the country's latest round of regulatory changes, saying they will focus on new sectors within it rather than reduce their overall exposure.