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Fidelity International
Environmental, Social and Governance
How can investors make sense of sustainability reports?
Bourses, governments and boards are attempting to measure the immeasurable. How, then, can investors make sense of this new data?
July 20, 2022
New appointments
Fidelity International appoints Marty Dropkin as APAC's head of equities
Dropkin will continue to be based in Hong Kong whilst spending additional time in Singapore, and across the region.
July 19, 2022
Investing strategies
Asean, especially Indonesia, offers 'real solace' from global headwinds: Fidelity
Give A-shares six months, says Matthew Quaife, head of multi-asset investment management, Asia at Fidelity International.
May 11, 2022
Investing strategies
Stagflation warning signs will keep flashing as risks grow
We remain cautious of potential tail risks and prefer to be underweight in riskier assets in the near term.
April 28, 2022
US Economy
Higher yields seen as headwinds to investors; FOMC's hawkish stance could intensify: analysts
Analysts at DBS and UOB are expecting to see cumulative basis point increases this year.
March 29, 2022
Environmental, Social and Governance
Fidelity: Fewer Singaporean women invest, citing high cost of living
Those in Singapore say their savings in the last 12 months have decreased, particularly for 40% of women and 32% of men.
March 10, 2022
Environmental, Social and Governance
Chinese investors most keen on ESG, Singaporeans least aware: Fidelity
China’s air pollution has for years posed a tangible, visible symptom to otherwise abstract ESG warnings.
July 02, 2021
Global review
Market questions central bank credibility
We think that, unlike in 2013 and 2018, the current tantrum is not driven by perceived Federal Reserve hawkishness.
March 12, 2021
Covid-19
Singapore investors most anxious in Asia about investment, retirement due to Covid-19: Fidelity
Two-thirds of Singaporean investors polled by Fidelity International have reported increased anxiety as a result of Covid-19.
September 24, 2020
Global Economy
Finding genuinely defensive ways to diversify portfolios
The Covid-19 crisis has triggered the fastest bear market in history, followed by the fastest initial rebound. Traditional defensive assets provided some protection during the March sell-off, but to a lesser degree than in past crashes.
July 17, 2020