A survey revealed their most prominent concern is how to manage current market volatility and geopolitical risks and how to better diversify their portfolio to mitigate these risks. About 68% of the investors in Singapore, Hong Kong, Japan, Thailand, the Philippines, Indonesia, Taiwan and Australia have realigned their portfolios to better weather current market conditions. Many have also put money into “safer” assets like cash and gold. Some are investing in private assets including private equity, private debt, real estate and infrastructure investments, with those in Singapore and Australia leading the charge.
As an investor in the Asia Pacific, what are your concerns?