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投資

Investors, whether banks, asset managers, hedge funds or pension funds, operate a dizzying array of mandates and strategies, but there are many commonalities when it comes to identifying and managing risk in their portfolios. Risk.net keeps investors up to date with the latest approaches and developments in managing portfolio risk – from tackling liquidity risk to measuring exposures, to macro, political and climate risk, as well as showcasing innovative new quant models, strategies and software systems.

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世界の投資家にとっての中国株:再開、回復、再参入

香港で開催されたRisk.netのETF & Indexing Forumのパネルセッションでは、FTSEラッセル、シティ、ブラックロック、CSOPアセットマネジメントの専門家が、最新の投資動向と課題、そして中国A株の機会について議論しました。FTSEラッセルのエメラルド・ヤウがモデレーターを務めた同セッションの主な内容をご紹介します。

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