Abacus Capital's global market perspective complemented by its Asian focus places it in a unique position to understand and to take advantage of investment opportunities in Asia.
Global Market Perspective
The Abacus Capital management team has extensive experience in the financial markets of New York, London, Hong Kong and Singapore, encompassing the origination, distribution, trading and management of debt and equity securities. This global perspective enables Abacus to bring sophisticated technical expertise to the management of Asian investments.
Asian Focus
With over a decade of exposure to the Asian markets, the management of Abacus is well acquainted with the subtleties and idiosyncrasies of the regional financial markets through its active participation in the full spectrum of sovereign, financial and corporate securities. Through its work over the past three decades with many of the top business families in Asia, Abacus has strong client relationships, which are enhanced by its network of investment and commercial bankers and fund managers within the Asian financial community.
Investment
Experience The management of Abacus has a proven track record in managing numerous funds in Asia in both the bull markets of the early and mid 1990s and early 2000s, and the bear markets during the Asian financial crisis and the 2008 US financial market crisis. The management has managed numerous funds, including:
In addition, Abacus manages several private investment accounts and investment companies for large financial and corporate investors with specifically tailored investment requirements.
Risk Management
With many years of exposure in all aspects of risk management, the Abacus team is intimately acquainted with risk identification, quantification and control. Areas of expertise include currency, interest rate and credit risk management, as well as corporate, regulatory and legal risk assessment and control.