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Explore the latest APAC opportunities

  • ,  Senior Investment Writer |
  • 06 Sep 2024
  • Updated 13 Sep 2024

APAC

Gain a deeper understanding of the dynamic APAC region

Develop a deeper understanding of where the opportunities lie in APAC markets with this selection of insights from key asset managers and global institutions. 

CNY at a Glance: Is the Worst of China’s Depreciation Pressure Over? (ING)

The People's Bank of China utilises a counter-cyclical factor that acts as an adjustment to their daily fixing during periods of high volatility.

What's Driving De-Dollarization in Asia? (Invesco)

For compliance reasons, this paper is only accessible in certain geographies

What drives the usage of hard currency in international trades when it is not the local currency of either trading party?

APAC Financial Markets Spotlight – August 2024 (FTSE Russell)

For compliance reasons, this paper is only accessible in certain geographies

Equities and fixed income broadly gained over three months, helped by currency effects, boosting overall yearly returns.

What Does India's Benchmark Inclusion Mean for Investors? (M&G Investments)

For compliance reasons, this paper is only accessible in certain geographies

The Indian government has been pursuing a policy of fiscal consolidation with a goal of reducing its deficit to below 4.5% of GDP in the next two years.

India – The Structural Growth Story of the Century? (East Capital)

A total of 84% of all equity options traded globally are bought or sold on Indian exchanges, almost half of which are traded by individual investors.

Gold’s Role in Australian Portfolios (World Gold Council)

For compliance reasons, this paper is only accessible in certain geographies

In the near-term, when upside risks of inflation remain elevated, the correlation between bonds and equities is likely to stay high.

Expect More Japanese Market Volatility, and Embrace It (Natixis IM)

For compliance reasons, this paper is NOT accessible in the United States and Canada

As market participants re-calibrate their positioning, it is natural to see a period of heightened volatility.

The Future of Asia Wealth Management 2024 (Accenture)

For compliance reasons, this paper is only accessible in certain geographies

Wealth management firms in Asia want to double assets under management to almost US$260 trillion by 2026.

The Australian Repo Market: A Short History (Reserve Bank of Australia)

For compliance reasons, this paper is only accessible in certain geographies

Since late 2021, repo contracts outstanding have grown from around $200 billion to around $350 billion.

India Farm Mechanisation: A Catalyst for Sustainable Agricultural Growth (PwC)

When thinking of India's future economy, the modernisation of agriculture emerges as a crucial imperative.

Factor Investment in the Japanese Equity Market (SuMI TRUST)

The value factor is more effective in Japan than in global markets due to a range of structural characteristics of the Japanese market.