ETFdb Logo
  • ETF Database
  • Content Hubs
    • Themes
      • Active ETF
      • Alternatives
      • Artificial Intelligence
      • China Insights
      • Core Strategies
      • Crypto
      • Disruptive Technology
      • Energy Infrastructure
      • ETF Building Blocks
      • ETF Investing
      • ETF Strategist
      • Financial Literacy
      • Fixed Income
      • Free Cash Flow
      • Future ETFs
      • Innovative ETFs
      • Institutional Income Strategies
      • Leveraged & Inverse
      • Market Insights
      • Market Outlooks
      • Modern Alpha
      • Nuclear Energy
      • Portfolio Strategies
      • Sector Investing
      • Tax Efficient Income
      • Thematic Investing
    • Asset Class
      • Equity
        • U.S. Equity
        • Int'l Developed
        • Emerging Market Equities
      • Alternatives
        • Gold/Silver/Critical Materials
        • Cryptocurrency
        • Currency
        • Volatility
      • Fixed Income
        • Investment Grade Corporates
        • US Treasuries & TIPS
        • High Yield Corporates
        • Int'l Fixed Income
    • ETF Ecosystem
    • ETFs in Canada
    • Market Outlook
    • Crypto ETF Hub
  • Tools
    • ETF Screener
    • ETF Country Exposure Tool
    • ETF Database Categories
    • Indexes
    • Scenario Analysis
    • Watchlists
    • Head-To-Head ETF Comparison Tool
    • Mutual Fund To ETF Converter
    • ETF Stock Exposure Tool
    • ETF Issuer Fund Flows
  • Research
    • ETF Education
    • Equity Investing
    • Dividend ETFs
    • Leveraged ETFs
    • Inverse ETFs
    • Index Education
    • Index Insights
    • Top ETF Sectors
    • Top ETF Issuers
    • Top ETF Industries
  • Webcasts
  • Sectors
    • Sector Investing Content Hub
    • XLK
    • XLI
    • XLU
    • XLY
    • XLP
    • XLRE
    • Sector Power Rankings
    • XLE
    • XLC
    • XLF
    • XLV
    • XLB
  • Multimedia
    • ETF 360 Video Series
    • ETF of the Week Podcast
    • Gaining Perspective Podcast
    • ETF Prime Podcast
    • Video
  • Company
    • About VettaFi
  • PRO
    • Pro Content
    • Pro Tools
    • Advanced
    • FAQ
    • Free sign up
    • Login
  1. China Insights Content Hub
  2. China Is Advisors’ Most Watched EM Country in 2023
China Insights Content Hub
Share

China Is Advisors' Most Watched EM Country in 2023

Karrie GordonJul 11, 2023
2023-07-11

Tensions between China and the U.S. continue to take the media mainstage this year in an environment of continued geopolitical risk. Despite muted flows into China-focused funds this year, the country maintains its position as the most researched within EM countries by advisors on the VettaFi platform.

Because of fears of enhanced geopolitical risk, investors largely remain on the sidelines when it comes to China investing. Though the flows may be tepid this year, China remains closely watched by advisors.

When it comes to advisor research on emerging markets on the VettaFi platform, the Asia-Pacific region is the highest researched this year. For the week ending July 9, 48% of advisors searching within emerging markets did so specifically in the Asia-Pacific region. The next closest was broad EM at 31%.

Within the Asia-Pacific region, China maintains its dominance as the most researched single country in 2023.

China Is Advisors' Most Watched EM Country in 2023
Image source: VettaFi

For the week ending July 9, 28% of advisors searched for China-specific funds and related strategies.  It’s a small drop-off from the beginning of the year when 34% of advisors searched for China, but the country remains the most researched on a consecutive basis within the Asia-Pacific. India, for all its rising popularity, continues to trail in research frequency, at 16% for the week ending July 9.


Content continues below advertisement

Moving Beyond Research to Investing in EM and China

There are several ways to approach investing in China while keeping an eye on risk and volatility. The KraneShares MSCI Emerging Markets ex-China Index ETF (KEMX C) offers emerging market exposure but excludes China. This allows investors to intentionally allocate how they want into China through complementary, targeted funds. Options include plays on consumer recovery through the KraneShares CICC China Consumer Leaders Index ETF (KBUY B-) or on China’s green transition through the KraneShares MSCI China Clean Technology Index ETF (KGRN B-).

The KraneShares S&P Pan Asia Dividend Aristocrats ETF (KDIV B) provides global portfolio diversification with a defensive stance against market volatility through dividend aristocrat companies. The fund offers exposure to China, Australia, Japan, and more.

For more news, information, and analysis, visit the China Insights Channel.

Loading Articles...

Advertisement

Is Your Portfolio Positioned With Enough Global Exposure?

ETF Education Channel

How to Allocate Commodities in Portfolios

Tom LydonApr 26, 2022
2022-04-26

A long-running debate in asset allocation circles is how much of a portfolio an investor should...

Core Strategies Channel

Why ETFs Experience Limit Up/Down Protections

Karrie GordonMay 13, 2022
2022-05-13

In a digital age where information moves in milliseconds and millions of participants can transact...

}
X