Larry Fink discusses integrating Merrill Lynch Investment Management, asset classes and products to build, and competing on a global scale.
The CEO of research-driven equity investment house, RCM explains why he is still bullish on commodities, in spite of recent falls.
ICICI Venture fund manager, Kishore Gotety managing a $550 million Indian real estate-focused fund discusses the big opportunities he sees in the sector.
Credit Agricole AM's Jovanovich believes Asian ex-Japan equities can end the year on a positive note for investors.
The spring sell-off have created a new buy opportunity in Japanese equities, says Hiroshi Motoki.
Invesco emerging-market/high-yield bond specialist urges investors to look beyond tight spreads.
And other takes on investing in Asian and global fixed income from one of SingaporeÆs most prominent bond fund managers.
Inflation fears triggered the May sell-off but many companies are positioned to reward investors, says Brandywine.
The firm builds a regional team dedicated to equity style blends û but do investment styles still matter?
Strength of won only major risk to recovery of undervalued market, says Kang Mijung
India's largest private sector equity fund manager continues to witness strong inflows despite fears of a market correction.
Michael Hughes CIO, Baring Asset Management, discusses why the factors which have prompted such a long period of stability are now creating a period
Alliance Capital believes that emerging markets offer the best of both worlds.
The three partners of Korea''s first domestic private equity fund explain why their strategy will work.
Fund of hedge funds GAM''s investment manager, Kier Boley, gives his take on the industry''s winners and losers.