One of the two co-chief investment officers of Indonesia Investment Authority (INA) resigned from the sovereign wealth fund earlier this month, according to Bloomberg, citing people familiar with the ...
The US$13.48 billion all-cash offer for UK asset manager Schroders by US peer Nuveen is seen as another blow to the London ...
It found that 21 units of Malaysia’s largest pension fund reported losses in 2024. The losses represented 1.9% of the EPF’s ...
According to WTW, the M&A impetus in financial markets is likely to endure at least through 2026. Private investment firms with dry powder to burn may help fuel the process, as may the growing need ...
Tokyo recently hosted back-to-back events designed to showcase the city’s headway toward becoming a leading asset management centre in and beyond Asia, and Japan’s progress to become an asset ...
Canada’s Manulife Financial Corporation and Indian conglomerate Mahindra & Mahindra have appointed Suresh Agarwal as managing director and chief executive officer of their joint venture insurance firm ...
Korea Investment Corporation (KIC) posted an investment gain of US$28.5 billion in 2025 for a return of 13.91%, boosting the ...
Philippine sovereign wealth fund Maharlika Investment Corp has promoted Kheed Nielsen Ng to a newly-created position as chief ...
The UK’s Jupiter Asset Management has tapped Piers Hillier from Royal London Asset Management as its new chief investment officer. He took over the role from Matthew Beesley, Jupiter’s chief executive ...
Queensland Investment Corporation (QIC) has invested A$15 million (US$10.62 million) in copper producer Austral Resources Australia. The move is to help Austral Resources refurbish the Rocklands ...
Australia’s UniSuper has increased hedging on its overseas investments because the local dollar is undervalued, John Pierce, chief investment officer of the superannuation fund, says in an interview ...
Asset management firms bidding on the tender must be registered in Korea and manage at least 1 trillion won (US$689 million) of assets, with a minimum 60% allocated to bond investments.