This annual report sizes and identifies the opportunities in Asia ex-Japan’s institutional markets, covering pension funds, sovereign wealth funds, central banks, insurers, government-linked institutions, and other key asset owners of China, Taiwan, Hong Kong, Korea, and Singapore. It discusses institutional asset owners’ investment concerns and priorities, portfolio allocations and new strategies, outsourcing, external manager selection, and investment plans.
Data comes from more than 70 interviews with the region’s largest institutions and asset managers, and surveys of the biggest regional managers contributed to this research.
Reasons To Purchase:
- Examine the sizing of Asia ex-Japan’s institutional asset management marketplace
- Track Asian institutions’ manager searches and their expectations of managers
- Read an in-depth analysis of the increasing appetite for alternative investments
- Understand the opportunities and challenges for asset managers trying to tap into Australia’s growing institutional market