This content is from: Portfolio As Global Markets Shudder, Investor Sentiment About China Ranges from Exuberant to Highly Cautious “It’s important to distinguish between what’s happened with Russia and what might happen with China,” said Andy Rothman, chief investment strategist at Matthews International. By Hannah Zhang May 19, 2022
This content is from: Research It Was a Rocky Year for Chinese Investors. Here’s Where They Looked for Answers. CICC and UBS lead II’s 2021 All-China Research Team. By Alexandra DeLuca January 12, 2022
This content is from: Premium Eyeing Growth, Asset Managers Look to Become Preferred Providers of Model Portfolios Distribution driven by technology is the key to being top of mind among advisors By Sponsored by iShares April 26, 2022
This content is from: Portfolio For the Younger Generation of Allocators, Nothing Is Sacred — Including the Endowment Model At the Meyer Memorial Trust, Rukaiyah Adams is encouraging millennial and Gen Z investors to question everything they know about the markets. By Jessica Hamlin May 04, 2022
This content is from: Portfolio Dealmaking at Sovereign Funds Slows to Levels Last Seen During Early Days of Pandemic In an environment where macroeconomic and geopolitical risks are both rising, institutional investors are hunkering down. By Hannah Zhang May 02, 2022
Sponsored The Pivotal Role of Fixed Income Markets in the ESG Revolution In the battle against climate change, bond investors could soon find themselves in the front line. Sponsored by Pictet Asset Management April 18, 2022