The day after tomorrow for asset management

The second of our Day after tomorrow perspective series, in this report we set out some of the most critical issues the industry faces today and in the future.

This report looks the following key themes:
  • Business models under stress
  • Investors: how will they react in the post-crisis environment?
  • Fiscal pressure to change shape of the industry
  • G8, G20: A new spirit of co-operation (with consequences for asset managers)
  • How will the regulatory maelstrom impact asset managers?
  • Is the “new model” in financial services under pressure?
  • Deleveraging in the banking system will affect asset management
  • Compensation: What’s good for banking….
  • The re-awakening of Asia
Read the report online here