5th Malaysia Global Investment Forum

Markets are evolving fast, and traditional approaches to portfolio construction, risk management, and diversification are being reassessed. From public markets to private opportunities, investors must adapt to a more complex global landscape.

AsianInvestor’s Malaysia Global Investment Forum returns to Kuala Lumpur for its fifth edition, bringing together senior asset owners to explore strategies for building resilient, future-ready portfolios.

This invitation-only morning Forum offers insights, practical discussion, interactive table sessions, and high-quality peer networking, designed to refresh thinking and identify both domestic and global investment opportunities.

This Forum is closed to external media.

16th Southeast Asia Institutional Investment Forum

Southeast Asia’s institutional investment landscape is under pressure from multiple directions. Geographical tensions are reshaping capital flows in the region’s favour, but also introducing new currency risk, political complexity and portfolio concentration challenges.

AsianInvestor’s 16th Southeast Asia Institutional Investment Forum, returns to Bangkok for its 16th edition. The programme will focus on the core investment themes of geopolitics, private market opportunities, the energy transition, infrastructure and building resilient portfolios.

This invitation-only event offers insights from the region’s leading asset owners, actionable strategies, interactive table discussions and high-quality peer networking.

This event is closed to external media.

19th Insurance Investment Briefing Hong Kong

The 19th Insurance Investment Briefing Hong Kong is the premier gathering for senior investment executives from leading regional and global insurance firms for candid, peer-led dialogue on the most pressing opportunities and challenges shaping insurance portfolios.

This invitation only event delivers expert insights, data-driven strategies, and interactive discussions on capital-efficient allocations, liability matching, resilient income sources, and innovative tools like infrastructure debt, PE secondaries, ETFs, and structured private market partnerships.

Designed in close collaboration with leading insurer CIOs, the briefing equips attendees with practical approaches to enhance risk-adjusted returns, optimise capital, and build resilient balance sheets in an uncertain environment.

The briefing is closed to external media.

8th Insurance Investment Briefing Singapore

The 8th Insurance Investment Briefing Singapore is the premier gathering for senior investment executives from leading regional and global insurance firms for candid, peer-led dialogue the most pressing opportunities and challenges shaping insurance portfolios.

This invitation only event delivers expert insights, data-driven strategies, and interactive discussions on capital-efficient allocations, liability matching, resilient income sources, and innovative tools like infrastructure debt, PE secondaries, ETFs, and structured private credit partnerships.

Designed in close collaboration with leading insurer CIOs, the briefing equips attendees with practical approaches to enhance risk-adjusted returns, optimise capital, and build resilient balance sheets in an uncertain environment.

18th Institutional Investment Forum Korea

The 18th edition of the Institutional Investment Forum Korea is set to take place on 25 June 2026 in Seoul, bringing together over 100 institutional investment leaders from local pension funds, sovereign wealth funds, insurers, and government entities. This highly anticipated in-person event will provide a platform for exclusive networking and in-depth discussions, focusing on guiding Korean asset owners on investment strategies for the upcoming year.

Speakers and panelists at the Forum will examine the key geopolitical, economic, and financial market trends shaping the global investment landscape. Sessions will focus on the implications for investment strategies across the full asset class spectrum.

The Forum is strictly by invitation and closed to external media, ensuring an exclusive environment for candid dialogue among senior investment leaders.

18th Insurance Investment Briefing Hong Kong

The 18th edition of the Insurance Investment Briefing in Hong Kong will convene senior investment executives and key decision makers from leading regional and global insurance firms. This exclusive briefing provides a platform for delegates to explore the critical opportunities and challenges shaping their global investment strategies and operations in Asia.

The investment decision making process within an insurance company is highly collaborative, drawing on a variety of expertise. Consequently, delegates represented will span the breadth of an insurer’s investment, risk management and asset/liability matching teams, to help foster a cross-function dialogue.

Hong Kong’s insurance industry is experiencing stable and steady growth, driven by strong cross-border demand from Mainland China, aging demographics, retirement planning needs and rising interest in savings-linked products. However, heightened asset valuations, interest rate volatility and technology advancements are presenting investors with challenges which they must navigate.

The briefing is closed to external media and held strictly by invitation only, ensuring candid dialogue among peers and thought leaders.

AsianInvestor Wealth 2026

AsianInvestor Wealth 2026 brings together fund selectors, asset allocators, discretionary portfolio managers, investment advisors, and senior decision-makers from private banks, wealth management firms, and family offices across the Asia-Pacific region.

The event is dedicated to exploring how to build and sustain world-class private wealth investment portfolios for the next generation of clients.

This emerging generation brings with them a vastly different set of values, cultural expectations, and preferences for technology and communication. Their evolving expectations are prompting private wealth professionals to rethink every aspect of their business models, including the investment solutions they offer.

Discussions at this event will address both organisational challenges and investment specific themes. To differentiate the event from traditional private wealth gatherings a strong emphasis will be placed on interactive table discussions. These small group conversations will follow the formal presentations and panel sessions, providing delegates with a valuable opportunity to directly engage with senior peers.

This is a private, invitation-only event, and is closed to external media.

21st Asian Investment Summit

In today’s investment landscape, characterized by geopolitical and technological transitions, the need for robust portfolio diversification has never been more essential. Investors are actively seeking avenues beyond traditional asset classes that provide consistent returns amidst the prevailing uncertainty, all while maintaining a vigilant approach to risk management.

The annual Asian Investment Summit returns to Hong Kong on 14 May 2026. Now in its 21st year, the flagship conference will convene a gathering of over 200 asset owners and industry professionals from the Asia-Pacific investment community, providing attendees with an exclusive platform to network with peers and participate in interactive discussions.

4th Malaysia Global Investment Forum

It’s time for investors in Malaysia to review – and potentially rethink – how they approach and manage their portfolios.

Change and disruption is the norm in today’s fast-moving global economic landscape. From navigating market volatility and geopolitical tension, to the evolving role of public equities and debt, to capitalising on access to private markets – conventional approaches to investment and risk management are at a crossroads.

To help drive and shape the conversation, AsianInvestor’s Malaysia Global Investment Forum returns to KL for its fourth edition – to explore investment strategies and processesto deliver diversified and resilient portfolios.

Join us at this invitation-only, morning event. An engaging programme and timely topics will offer actionable insights, relevant strategies, interactive table discussions and unparalleled networking to help refresh and optimise portfolios, plus identify domestic and international growth opportunities.

Key discussion topics include: Asset allocation strategies for volatile and dynamic markets The evolving role of public and private markets in portfolio construction Fixed income approaches for stable, long-term yield Opportunities and risks in private debt investing Building ESG-aligned, sustainable investment frameworks Capitalising on Malaysia’s domestic growth outlook

Secure your complimentary pass today to access exclusive insights, peer-led conversations, and forward-looking strategies designed to help you thrive in today’s evolving investment environment.

15th Southeast Asia Institutional Investment Forum

Southeast Asia’s institutional investment landscape stands at a pivotal juncture. Despite global uncertainties—from shifting US-China relations and geopolitical tensions to evolving trade policies—the region continues to demonstrate remarkable economic resilience and growth potential. With ASEAN+3 economies projected to expand steadily and capital market reforms enhancing access, institutional investors face both unprecedented challenges and opportunities in portfolio construction and risk management.

This high-level forum brings together senior investment leaders from Southeast Asia’s asset owners and local asset managers to address the strategic decisions shaping institutional portfolios in the region. Through keynote insights, expert panels, and interactive discussions, attendees will gain actionable perspectives on portfolio rebalancing, alternative investments, and emerging growth sectors in a rapidly evolving landscape.

Key discussion points:

– Portfolio resilience: How are Asia’s top CIOs adjusting asset allocation frameworks to manage liquidity, currency, and credit risks while capturing growth opportunities? – Fixed income evolution: What fixed income strategies can navigate inflation and rate uncertainty in a rapidly changing environment? – China & regional dynamics: How should investors recalibrate China exposure while diversifying across emerging Southeast Asian markets? – Alternative asset opportunities: Which private credit, infrastructure, and real estate strategies offer compelling yield and diversification benefits? – Sustainability integration: How can institutional investors integrate climate transition and sustainability into portfolio construction effectively? – Technology and innovation: What role will AI and digital transformation play in shaping the next generation of institutional investing?