Skip to main content

FT Live & APSA logo  

ABS Asia 2025

Default Image

Sample Image

  1. Exploring the expansion of private credit, beyond global GP’s, to regional bank partnerships, and fintech and specialist lenders as the market broadens across borrower types, geographies, and capital structures. Discussing scalability across the APAC regions, what more is needed to unlock access as the asset-based lending opportunity expands across real estate, infrastructure, consumer, and SME sectors. Examining fund structuring innovations, institutional investor entry, and the growing intersection with securitisation.
  2. Exploring macro volatility impacts, and the evolution and performance of key domestic markets around ...
  3. Exploring new opportunities across hyperscale data centres to fibre-optic rollouts; how lenders and arrangers are financing digital infrastructure projects across APAC, including asset-backed models, green-labelled structures, and sponsor-driven private deals. Addressing the unique risk profiles of digital assets, cross-border complexity, ESG considerations, and the emergence of a new investable asset class at the intersection of tech and credit.
  4. A special presentation from the Asia-Pacific Structured Finance Association (APSA) on its current Structured Finance Global Connect (SFGC) initiative - "To Facilitate Investments by Global Investors in ABS Backed by China Assets in Hong Kong"

  5. Exploring the blurring lines between public and private credit markets and how institutional investors are allocating capital; discussing how investors are navigating today's credit landscape - pricing risk, sourcing alpha, managing liquidity, and engaging with new structures. Examining the evolution of mandates, the geographies and asset classes gaining
    momentum, and what investors need from issuers and platforms in an increasingly hybrid market.
  6. Keynote fireside chat with an industry leading market figure, discovering how they view the current macroeconomic and geopolitical environment, their top trends, and things to watch in an increasingly complex and fast paced environment.
  7. Assessing market depth, collateral performance, pricing trends across capital stacks, and structural innovations including reverse mortgage RMBS and ESG-labelled deals, as Australia continues to lead the region in public securitisation activity, with record volumes in RMBS and non-bank lending, and strong domestic and offshore investor demand. Exploring credit performance outlooks, risk transfer strategies, and whether current momentum is sustainable amid macro softening and tightening global funding conditions.
  8. Exploring the evolution of SRT as a viable capital management tool in Asia; comparisons to European and U.S. markets following regulatory approvals across Hong Kong, Singapore, and Japan; and discussing the ability to scale market confidence and deal flow. Examining funded and unfunded transaction structures, regulatory frameworks, risk retention interpretation, and investor appetite.
  9. Discussing how GPs can unlock portfolio value, manage liquidity, and scale capital deployment through maturing NAV Loans, Subscription lines, and Hybrid structures. Exploring evolving risk frameworks, documentation standards, and regulatory considerations shaping fund finance in Asia, including the role of Singapore’s VCC regime, cross-border
    enforceability issues, and the emergence of rated feeder structures designed to meet insurer and pension investor needs.
  10. Exploring current opportunities amid record auto, mortgage, and consumer issuance; the rising focus on Private Credit; and regulatory constraints on cross-border capital. Examining the evolving investor base, growth in pass-through certificates, credit dispersion across asset types, and emerging stress in unsecured and microfinance segments.
  11. Explores the emergence of Infrastructure ABS (IABS), recent trends and viewpoints from different players in the market; plus long-term prospects for the asset class on the Asia-Pacific and global stage.

  12. Exploring securitisations potential in markets like Indonesia, Vietnam, the Philippines, and Malaysia. Examine emerging collateral types, regulatory hurdles, cross-currency risks, and how investors can navigate scale, transparency and yield across the ASEAN bloc.
  13. Exploring how AI and Tokenisation are changing how RMBS, ABS, and private credit deals are monitored, structured, and managed across APAC. Examining real deployments from predictive credit surveillance and fraud detection, to automated scenario analysis and tokenised distributions; and cutting through the noise to share concrete outcomes such as faster closings, early covenant alerts, and smarter risk allocation across securitised and private credit portfolios.

Networking & Receptions
    • Networking & Receptions
    • Networking & Receptions
    • Networking & Receptions
    • Networking & Receptions
    • Networking & Receptions
    • Networking & Receptions