AsianInvestor
AsianInvestor is the premier magazine focused on the asset management sector in Asia. Released six times annually, it explores a wide range of subjects, including alternative investments, securities services, pension reforms, risk management, mutual funds, trends in institutional investment, and regional regulations, including those in Japan.
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Global
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India
#244803
Finance/Investing
#4190
Articles
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1 week ago |
asianinvestor.net | Richard G. Newell
As retirement schemes attempt to guide members on how to avoid crystallising losses in the wake of the recent market falls, investment teams are likely to reduce their US equity weightings. While investing institutions in Asia Pacific take stock of their market exposures in the wake of President Trump’s unwelcome tariff war, one CIO in Australia is suggesting that a major reweighting of US equities is on the cards.
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2 weeks ago |
asianinvestor.net | Nishtha Asthana
As mid-market GP stakes investments gain momentum, investors are navigating valuation complexities, governance risks, and structuring challenges around this specialised style of private equity investing to foster long-term alignment of interests among key stakeholders. As limited partners (LPs) seek diversified exposure and strategic alignment, mid-market general partner (GP) stakes investments are gaining traction as a compelling opportunity.
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2 weeks ago |
asianinvestor.net | Lucas Cacioli
Japan Investment Corporation's maiden investment in JAC2 engagement fund aims to drive business restructuring and innovation within listed companies while stimulating Japan's institutional investor participation.
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2 weeks ago |
asianinvestor.net | Lucas Cacioli
Project Odin is expected to give the Australian pension giant unprecedented visibility across its rapidly growing portfolio, unifying complex listed and unlisted asset data to drive global expansion Aware Super has reached a significant milestone in its multi-year transformation initiative, dubbed 'Project Odin', with the successful implementation of a new enterprise data management platform designed to centralise and enhance the fund's investment data capabilities, according to the fund's...
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4 weeks ago |
asianinvestor.net | Lucas Cacioli
Financial analysts assess some wild claims that recent stock market turbulence might be part of a deliberate debt management strategy of the new administration. Recent market volatility following Donald Trump's election victory has sparked an unusual conspiracy theory amongst some of his supporters – that the US President is deliberately allowing stock markets to falter as part of a calculated strategy to lower government borrowing costs.
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