The latest news on wealth management in Asia, plus people moves, league tables and Asiamoney's benchmark Private Banking Poll results.
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21 May 2012
Upside risks to inflation combined with an increasing fiscal deficit and strong growth prospects mean that unless Greece exits the Euro, Malaysian bonds are a bad investment, says Credit Suisse.
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21 May 2012
Emerging market (EM) high yield debt offers some exciting opportunities, as long as investors understand the country-specific risks, says the asset management house.
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14 May 2012
India’s move to open its corporate bond market to qualified foreign investors (QFIs) could cause corporate yields to fall to lows not seen since 2005.
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11 May 2012
Vietnam sovereign bond yields in have fallen to a three year low as banks recoil from a new 15% cap on lending rates. But the drop will likely be temporary as banks seek higher returns.
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11 May 2012
Asian local currency bonds offer better relative value than rates with China and Korea sovereigns offering the best opportunities, says Crédit Agricole.
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11 May 2012
Analysts share their views on the prospects for Chinese high yield bonds.
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10 May 2012
Attempts to widen the investor base for Malaysian sovereign and corporate bonds by listing the securities on an exchange will face headwinds due to the costs and bondholder constraints.