AsianInvestor carried out a webcast with two senior Northern Trust executives to examine the impact of post-crisis regulatory reform on institutional investors in Asia Pacific.
Tag : risk
Asian asset owners have made big gains in sophistication, which some feel could pose a challenge for smaller asset managers.
In partnership with Towers Watson
It’s time for asset owners to modernise their risk management practices, argues Towers Watson. The possibility of mission impairment gives rise to the need for buffers.
The West Kowloon Cultural District Authority mismanages its $2.8 billion endowment by doing nothing.
The UK firm creates the post of Asia-Pacific chief risk officer and hires UBS veteran Urban Wilde to fill it.
Nick Taylor, founder of new start-up Senrigan Capital, explains how his event-driven hedge fund tackles risk and how he came to set up the firm.
Mutual funds of global bonds, emerging-market equities and commodities enjoyed strong inflows in November.
A roundtable discussion on risk management reveals market participants have increased the time devoted to ensuring risk is factored into return expectations.
The first phase of Nomura Asset ManagementÆs upgrade includes automating, cleansing and centralising global equity data in a common format.
Andrew Yee of Standard Chartered IL&FS Infrastructure Growth Fund talks about Asian infrastructure post the credit crisis.
A local firm, established by Mizuho market risk execs, tries to convince hedge funds that outsourced risk management is an inexpensive and safe alternative.
US provider of risk analysis and portfolio rebalancing tools appoints former Barra Japan president to build its Asia-Pacific franchise.