ESG

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AmWealth’s ESG strategy sharpens competitive edge

AmWealth’s funds management division comprising AmFunds Management Berhad and AmIslamic Funds Management Sdn. Bhd., bagged eight awards at Asia Asset

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Lower-tracking-error strategies move into the mainstream
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Lower-tracking-error strategies move into the mainstream

AllianceBernstein sees demand for steadier alpha as concentrated markets challenge

AAM 4 reasons to consider exposure to active global equities - Copy copy
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Four reasons to consider exposure to active global equities

Access more opportunities, increased diversification, and potentially better risk management.
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Equity Income: Take It or Leave It?

Investors often assume that as they move between life stages,

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Rewired, Reshaped, Redefined Infusing AI to Drive the Next Chapter of Efficiency in Fund Management

The investment management industry is undergoing structural change. Margin pressure,

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Sovereign Wealth Funds

Philippine wealth fund Maharlika to invest up to US$240 million in agriculture sector by 2028, report says

The Philippines’ Maharlika Investment Corp plans to invest as much as US$240 million in the country’s agriculture sector from 2026

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Awards Supplement

Scaling up for Asia

As winner of multiple honours at the Asia Asset Management’s Best of the Best Awards 2026, BNP Paribas Asset Management

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Awards Supplement

Building breadth, balance and depth from Singapore

As winner of Global Equity (3 years) and Asian Bonds (3 years), alongside the Singapore honours for Best Bond Manager,

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Awards Supplement

Multi-pronged strategy powers awards wins  

Malaysia’s Kenanga Investors has emerged as one of the standout winners at Asia Asset Management’s Best of the Best Awards

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Awards Supplement

A good investment for the future

Recognition in Asia Asset Management’s Best of the Best Awards 2026 spans two related entities within the Nippon Life group.

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Analysis

The clean energy rollback rolls in reverse

Remarks by a top official of the International Energy Agency (IEA) highlights fallout from the war in the Middle East,

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Analysis

Taiwan’s BLF navigates risk though diversified strategies

Taiwan’s Bureau of Labor Funds (BLF) has adopted a disciplined asset allocation framework amid heightened volatility in global financial markets,

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Sustainability

Korea’s Mirae Asset seeks firm to manage 300 billion won renewable energy fund

Korea’s Mirae Asset Global Investments is looking to outsource management of a 300 billion won (US$206 million) carbon neutral renewable

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Sustainability

Asian asset owners seen to focus on climate transition in ESG

Asian asset owners will likely maintain allocations to environmental, social and governance investments this year, focusing on sustainability financing and

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Sustainability

Analysis: Sustainability defies political rhetoric

Sustainability-focused trends and investments are proceeding in defiance of political rhetoric and beyond policy cycles, according to index provider MSCI’s

Sustainability
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