Key Themes in Regulation, Geopolitics, Technology & Investor Behaviour
Asia’s derivatives markets are evolving faster than ever — driven by new regulation, technology, and investor behaviour. This report delivers sharp analysis and original insight across APAC’s most dynamic financial hubs.
From Hong Kong’s bond ambitions to India’s retail surge, this exclusive report reveals how Asia’s exchanges, regulators and investors are reshaping global derivatives flows — and what that means for you.
Each section combines expert commentary, live market data and insights from our FOW Trading Asia (Hong Kong) and FOW Trading India (Mumbai) events.
How regional regulators are balancing innovation with integrity across India, Hong Kong, Japan and Australia.

Why Asia’s policy shifts and global positioning are driving sentiment and cross-border flows.

The rise of retail in India and Hong Kong, and what it signals for market maturity.

LNG, metals and carbon markets: Asia’s pivotal role in transition finance.

The exchanges and post-trade platforms powering the region’s next growth phase.

Asia’s derivatives markets are no longer following global trends — they’re setting them. With retail participation booming, ESG-linked products expanding, and geopolitical forces reshaping liquidity, investors need clear insight to stay ahead.
This report brings together exclusive interviews, data-driven analysis and first-hand perspectives from across the region’s leading markets.
Understand how Asia’s unique regulatory landscape is shaping global participation.
Discover where retail and institutional activity are converging.
Gain insight into the next growth engines in energy, commodities and digital infrastructure.
Learn from real-world examples and market data curated from the region’s leading experts.

Your essential briefing on how Asia’s derivatives landscape is changing — and where the next opportunities lie.
