Divergence and a lack of conviction in market calls could be generating abstruse correlation risks for Asia’s HNWIs, whose multi-banking ways and a tendency to focus on headline figures could be offsetting returns. Well known for their tendencies to multi-bank and shop around, Asian HNWIs may be generating correlation risks within their total portfolios without even knowing it. For example, a…
Divergent markets could create correlation risks for Asia’s multi-banking investors
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