Investors have plenty of reasons to be bullish about China’s financial markets in 2025, according to one of the country’s top ...
This session will look at the multi-faceted nature of the transition to a low-carbon economy and the implications for investors’ portfolios. It will explore a risk and return dimension, looking at how ...
The current global context is testing the limits of the economic system built in the last century. This session will look at the need to accelerate the transition towards a more resilient and ...
CalPERS CIO Stephen Gilmore talks the board through their role in setting the risk parameters behind a Total Portfolio ...
New research investigates the systemic impacts of the large and growing superannuation industry in Australia highlighting two main concerns, that may differ from what you expect, and drawing ...
Abu Dhabi-based sovereign wealth fund ADQ kicked off the new year forging two global investment partnerships, as the fund seeks to boost its influence in emerging markets by deploying capital in ...
Poor corporate sustainability disclosure and the absence of global standards is now a systemic risk for investors, said panellists at Sustainability in Practice which included chief governance and ...
Mark Fawcett has been an investment manager for over 27 years and managed money at a variety of institutions. He was head of Japanese equities at Gartmore, and held the role of chief investment ...
The muted IPO market has created a backlog of companies looking to make their public debut. In the current climate, a strategic and meaningful exit option for founders and CEOs can be M&A, so argue ...
Much anticipated reform of Sweden's five buffer funds will liquidate AP1, dividing assets between AP3 and AP4. Private equity specialist AP6 will also merge with AP2, expanding the opportunity for the ...