We take a closer look at the geopolitical impact of Russia’s invasion of Ukraine, and the investment implications for global risk assets such as equities, bonds and commodities.
Read moreWe take a closer look at China’s property sector and examine why recent policy developments are moving the sector in the right direction.
Read moreFullerton’s in-house and external experts shed light on the implications of China, Climate Change and Covid-19 for business models, operating environments, economies, markets, and ultimately, investors in 2022.
Read moreWe examine the investment outlook for 2022 through lens of three C’s: Covid-19, China and climate, and assess the investment implications. We also examine the strategies that can help investors navigate these three themes and the shifting trends across Asia.
Read moreIn this market update, Kylie Soh, Fullerton’s Fixed Income Product Specialist, examines the recent developments in China’s property sector and what lies ahead for investors.
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