Corporate treasury functions across the Asia-Pacific region are facing heightened complexity as companies manage liquidity, currency exposure, and funding strategies in a rapidly changing macroeconomic environment. Volatile interest rates, fluctuating exchange rates, and evolving regulatory frameworks have placed increased pressure on treasury team… Read More
Market dislocations and periods of economic stress often create compelling opportunities for investors with the expertise and patience to act decisively. As higher interest rates, tighter liquidity, and uneven growth pressure balance sheets across industries, a growing pool of assets has become mispriced relative to long-term fundamentals. In respo… Read More
Institutional investors are increasingly seeking diversified equity exposure that can perform across varying market conditions while reducing reliance on a single investment style or manager. As volatility, policy shifts, and regional dispersion continue to shape global markets, allocators are reassessing traditional portfolio construction models. … Read More
Growth equity investors increasingly rely on long-term performance data to evaluate whether a strategy delivers sustainable value rather than short-lived outperformance. In an environment marked by shifting economic cycles, sector rotation, and valuation dispersion, consistent results relative to benchmarks provide an important measure of investmen… Read More
Leadership depth and strategic clarity are critical drivers of long-term success in global financial services. As investment platforms grow in scale and complexity, the quality of executive leadership becomes increasingly important in shaping culture, execution discipline, and institutional credibility. In 2025, StratNova has strengthened its execu… Read More