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International Portfolio Investment Strategies for 2023

 
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Discover key trends in global portfolio investments for the upcoming year.

description: an anonymous investor analyzing a world map with various financial charts and graphs, symbolizing the complexity and interconnectedness of international portfolio investments.

PRNewswire/ -- ACON Investments, L.L.C. ('ACON') today announced an agreement under which New Era Cap, LLC ('New Era' or the 'Company'), setting the stage for international portfolio investments in the coming year. This move signals a growing interest in diversifying portfolios across borders.

Here are some easy ways to streamline your portfolio in the new year. With the global economy becoming increasingly interconnected, international portfolio investments have become a crucial strategy for investors looking to maximize returns and minimize risks.

Nine stocks make up Berkshire's international portfolio holdings. There's Diageo, an alcoholic beverage maker, which owns some of the world's most popular brands. Other key holdings include Tencent, a Chinese tech giant, and Nestle, a Swiss multinational food and drink company.

Emerging markets will need increasing amounts of foreign private capital to finance their climate transition. This column explores the importance of international portfolio investments in supporting sustainable development initiatives around the world.

Elevated risk aversion amid heightened geopolitical and inflation risks and tightening monetary policies in advanced economies weighed on international portfolio investments in recent months. However, long-term investors see this as an opportunity to capitalize on undervalued assets.

In its latest board meeting, the Securities and Exchange Board of India (Sebi) took steps to improve non-resident Indian (NRI) and overseas portfolio investment regulations. This move is expected to attract more foreign investors to India's growing economy.

In the debt market, FPIs net bought Rs 45087 crore on a net basis and in the debt-VRR (Voluntary Retention Route), they purchased Rs 7040. This highlights the growing importance of international portfolio investments in the fixed income securities market.

Swedish holdings in foreign portfolio assets increased in the second half of 2022. Total holdings amounted to SEK 8 065 billion, showcasing the country's strong presence in global investment markets.

Our models hold a higher allocation to emerging market debt than our peers. Emerging market debt has historically been a volatile asset class, but it also offers attractive returns for investors willing to take on some risk.

Labels:
international portfolio investmentsdiversificationemerging marketsfixed income securitiesglobal economysustainable development
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