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Institutional investors are currently grappling with a challenging global investment landscape, as macroeconomic uncertainties and geopolitical tensions continue to exert influence on market conditions.

The US federal funds rate has reached unprecedented levels and despite a recent pause in rate hikes, the probability of policy easing in the near future remains low. Meanwhile, Asian markets offer enticing prospects to investors due to their growth potential and comparatively lower inflation data.

Against this backdrop, institutional investors are actively exploring fresh investment opportunities and strategies that can deliver consistent returns while effectively managing risk and aligning with social and sustainability values.