Singapore’s sovereign wealth fund, together with JP Morgan Asset Management, argues that the rampant unsystematic approaches to alternatives investing must end, and unveils a new framework for resilient multi‑alternatives portfolios.
Asia’s markets continue to demonstrate a resilience shaped by discipline, adaptation and a shift in investor mindset. Amidst a backdrop of policy uncertainty, trade disruptions and shifting sentiment, how should investors be approaching the region today? AsianInvestor speaks to Vikas Pershad, portfolio manager, Asian equities at M&G Investments for his take on what is changing – and what still matters most.