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Blended finance powering Asia’s next wave of institutional capital
Asset managers need to reconcile divergent risk appetites of multiple stakeholders
Bayani Cruz   16 Sep 2026
Across Asia-Pacific, institutional asset allocation is undergoing a fundamental shift as investors – ranging from sovereign wealth funds in the Middle East and Southeast Asia to ultra-high-net-worth family offices – move beyond traditional ESG risk integration towards active, dedicated transition strategies.
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