SBI Funds Management Opens 6.3% Higher in Mumbai Trading Debut
India's largest asset manager attracts $1.14 billion in share placement as institutional appetite for financial services firms intensifies ahead of second-half pipeline
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India's largest asset manager attracts $1.14 billion in share placement as institutional appetite for financial services firms intensifies ahead of second-half pipeline

GPIF appoints active domestic bond managers as it seeks better returns amid shifting interest rate environment

Singtel explores partnership options for Australian unit while asset manager reports mixed earnings amid strategic pivot

Singapore conglomerate adds S$13.5 billion in funds under management this year, fueled by sovereign wealth commitments to data centers and infrastructure

Financial regulator pushes asset managers to spread daily portfolio adjustments across trading hours instead of clustering trades near market close

Singapore conglomerate plans to monetise 10 rigs through new vehicle with Apollo, starting with six operational units valued at S$1.2 billion

Industry group studies proposal to allow cellphone use during market hours after two-year lockdown sparked retention concerns

The bank sold its entire stake in MIDF Amanah Asset Management to Tortoise Works, completing a strategic retreat from non-banking operations after regulatory approval

Star manager Zhang Kun exits Moutai and e-commerce holdings as weak spending reshapes Asia's largest equity market

Tokyo fund house targets pension funds and universities in strategic pivot away from retail dominance

Business chamber calls for regulatory shift to expand investment options in city's mandatory retirement system

Monetary Authority of Singapore proposes faster approval for alternative investment products while retail investors report struggles with existing complex funds

SBI Funds Management secures anchor commitments from insurance giants and offshore funds as parent companies prepare to offload stakes in the country's dominant mutual fund player

Singapore, Abu Dhabi sovereign wealth funds and LIC lead anchor round for India's largest asset manager as public offering opens this week

Finance minister signals major allocation shift that could redirect billions away from international managers

Forty-four open-ended debt schemes exceeded regulatory thresholds in March 2026, managing ₹3.18 lakh crore, though all moved quickly to address the violations.

The US quant manager is prioritizing the region's growing high-net-worth segment, offering institutional-grade strategies tailored for wealth clients

The financial hub recorded 20 percent growth in 2025, driven by a near-tripling of net fund inflows and sustained international investor appetite