Take stock of rising market volatility in asset management: StanChart
Singapore
MARKET volatility is on the rise and Singapore investors should be cognisant of this while considering their asset management strategies for the upcoming few months, according to Standard Chartered's Wealth Management Group.
The group's expectation of an increasingly volatile market is the foundation for its asset management strategy for Singapore investors, which includes a bullish standpoint on equities, a focus on alternative asset management strategies, and a positive outlook for the US dollar.
KEYWORDS IN THIS ARTICLE
BT is now on Telegram!
For daily updates on weekdays and specially selected content for the weekend. Subscribe to t.me/BizTimes
Companies & Markets
S&P slashes Boeing credit outlook as rating hovers above junk status
Honda to spend US$11 billion on EV strategy in Canada
GlaxoSmithKline sues Pfizer and BioNTech over Covid-19 vaccine technology
Mapletree Industrial Trust Q4 DPU rises 0.9% to S$0.0336
Nasdaq’s profit falls as shaky economy keeps IPO revival elusive
iFast Q1 net profit surges on ePension unit performance