With the macro environment, markets and policies experienced significant volatility in 2023, 2024 will require intelligent foresight to find opportunities as economies and markets begin digesting the impact of these dynamics.
Face the China market slowdown; will the Asia market continue to be healthier than much of the rest?
The EU market has teetered on recession throughout 2023, is the market expected to excel and grow in 2024?
Will the U.S. market remain at risk of recession or rebound strongly?
Against this macro background, what opportunities and challenges are emerging across the global markets?
We will a have panel discussion topics from Global Multi-Assets, Equity, and Fixed Income Assets to let us know and understand the fund manager’s investment planning in Mutual Funds, ETFs, and MPFs in 2024.
Organizer 主辦機構
Gift Sponsor 禮品贊助
Panel Moderator
Ms. Kit Tang
Executive Editor, Bloomberg Businessweek/Chinese Edition
Ms. Michele Barlow
Head of Investment Strategy State Street Global Advisors
Mr. Felix Ho
Chief Investment Officer, Sun Life Asset Management (HK) Limited
Mr. Ronald CC Chan, CFA
Chief Investment Officer, Equities, Asia (ex-Japan), Manulife Investment Management
Ms. Kelly Chung, CFA
Chief Investment Officer, Multi Assets, Value Partners
Mr. Jeffrey Qi
E Fund - Head of Department, Portfolio Management, Global Fixed Income Investment E Fund HK - Deputy CEO and CIO (Global Fixed Income)