This content is from: Portfolio Asian Financials Have Weathered the Banking Crisis Better Than Global Peers Central bankers in Asia have have had strict control over regional banks since the 1997 Asian Financial Crisis. It has paid off, argues Eastspring. By Hannah Zhang March 21, 2023
This content is from: Portfolio Here’s Proof That ESG Can Improve Returns — If It’s Done Right According to a new study from MIT, investors can combine different ESG rating systems to mitigate the noise of each individual ESG index provider. By Hannah Zhang March 14, 2023
This content is from: Portfolio Growth Opportunities Are Bubbling Up in Hard-Hit Emerging Markets Investors’ retreat across the globe has made it easier to identify opportunities in India, Brazil, and other developing markets, argues Baillie Gifford’s Andrew Keiller. By Hannah Zhang February 21, 2023
This content is from: Premium Can a Tiger Change Its Stripes? Sylebra Capital Thinks So. The Tiger Grandcub headed by Dan Gibson runs a low net exposure to lesser-known stocks. By Stephen Taub February 24, 2023
This content is from: Premium A Rising Tide in Thematic ETFs Institutional investors eye a wave of opportunity. By Sponsored by iShares February 23, 2023
This content is from: Portfolio How to Finally Ditch the 60-40 Portfolio, According to GIC and MSCI The current environment “could require a fundamental evolution of the asset-allocation process,” the firms said. By Alicia McElhaney October 19, 2022