Research and Training Conduct in-depth research on global and regional thematic financial topics and provide excellent quality training

Since the subprime crisis of 2007, public opinion has questioned the complicated financial instruments and the regulatory supervision. In recent years, countries have tightened the supervision and regulation and financial institutions have also begun to pay more attention to risk control, the financial industry is returning to the right track of healthy development. Asset allocation refers to the allocation of investment funds among different asset classes according to the investor risk appetite, return expectation and market situation resulting distribution between low risk and high-yield securities. Asia Financial Risk Think Tank focuses on the trend of global asset allocation, application of risk methodology in the optimal allocation of funds into risk assets classes to meet the investors objectives.