In a rapidly shifting macroeconomic and geopolitical landscape, sovereign investors are redefining how they allocate capital, manage risk, and pursue long-term resilience. At 麻豆社 Asset Management, our Global Sovereign Markets team partners with central banks, sovereign wealth funds, and public pension plans worldwide 鈥 sharing forward-looking perspectives and practical insights drawn from decades of collaboration. In this section, you will find thought leadership on the trends shaping sovereign portfolios, from diversification across alternative assets to sustainability and policy transitions, reflecting our commitment to informed partnership and trusted guidance.
Latest articles
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- A spirited return to Asia and China
- A partnership to deliver breadth and depth on India equity
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- Central Banks & Emerging Markets Debt
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- Investing in India鈥檚 ambition
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- Double take on China: FDI
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- Unlocking the potential of QFII and RQFII: A guide for investors in China
- EM investment grade sovereign hard currency debt in central bank portfolios
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- How China thrives in the technology race
- Investing in China with patience and confidence
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- Answering the top China investment questions

