Geopolitical tensions point to growing complexity facing U.S. investors amid China's continued emergence as an economic superpower.
Stability will be a buzzword for China in 2022, one thing poised to change is overseas investors’ appetite for mainland-listed A shares.
Asset owners and managers shifted seamlessly to remote working/due diligence but challenges in the new environment remain to be addressed.
Institutional investors debate pandemic's medium-term impact on allocations but agree risk will reign supreme for the next 12 to 18 months.
Mexico managed to make major reforms to its retirement system last year despite the distractions of the coronavirus pandemic.
The COVID-19 crisis stressed emerging market retirement funds, narrowing their path forward as demographic pressures loom.