Asian asset owners have made big gains in sophistication, which some feel could pose a challenge for smaller asset managers.
Tag : risk management
Hong Taeg-ki leaves Bank of Korea for Korea Investment Corporation.
Risk management must be approached from various angles and now includes longevity risk and resilience management, note panellists at AsianInvestor's recent investment summit.
Former Prudential AM executive Trevor Persaud takes on a newly created role, heading the development of consulting services for Asian institutions.
Multinationals in China and Hong Kong are gaining sophistication in terms of investment policy for employee benefit plan management, but they need to improve in other areas, says Mercer.
Having overseen positive returns on Munich Re's investments in 2008 and 2009, Thomas Kabisch gives his views on Europe, Asia, bonds and risk management.
Ng Nam-Sin of the Monetary Authority of Singapore spells out what authorities expect of asset managers doing business with Singaporean clients.
Fundamentals-focused fund managers need to adapt to markets that are now more trading-orientated, particularly in Asia, says George Liu of RCM.
Jean-STbastien Py takes on the new role in the Singapore hub and will target new markets in South Asia for the portfolio and risk software firm.
Senior risk managers at AsianInvestor's Southeast Asia Investor Forum last week spoke about the lessons learned û or not û from the financial crisis.
The Malaysian firm is preparing to deal with more complex mandates and requirements.
On his first trip to Hong Kong, Terry Duffy talks position limits, China opportunities and big numbers, and looks forward to more visits to the region.