Asset Management

News

Banks, funds split on next steps after May's Brexit vote defeat

Theresa May’s deal was rejected in the UK House of Commons, by a bigger than...

Mifid II may fuel undesired impact on research products - experts

Mifid II could be fueling a reduction of research on SMEs, the French regulator...

UK govt set to lose Brexit vote, but could win rerun – economists

UK government likely to lose the first vote, secure EU concessions, then win a...

Ostrum picks Caceis to handle money market fund rules

EU money market fund rules will apply to existing funds on January 21

City rejects idea of second Brexit referendum

The local authority for the square mile has voted against supporting a campaign...

City firms to move £800 billion from London to Europe - EY

EY has been tracking the Brexit plans of 222 financial firms since the UK voted...

Zero fee funds unlikely to become mainstream – research

Fee pressure unlikely to serve as a catalyst for the widespread launch of...

Sec lending revenue just shy of $10 billion in 2018

DataLend stats show $9.96 billion worth of revenue was generated for investors...

Self-indexing trend not a concern for larger providers

Critical elements of index construction cannot be easily replicated, according...

Bloomberg, Predata collaborate as alternative data goes mainstream

Predata CEO Hazam Dawani says big players like Bloomberg are positioning...

Opinion

Mandatory buy-ins: Five reasons why the buy-side should care

By Andy Hill, Senior Director, ICMA

Time to complete a critical financial crisis reform

By Matthew Stauffer, managing director and head of Institutional Trade...

European banks are gambling with their future

European banks are losing out to their US rivals partly due to their relatively...

Factors driving the market sell-off

By Eric Lascelles, Chief Economist, RBC Global Asset Management

Custodian 3.0: The Evolution of the Custody Bank

By Clive Bellows, Head of Global Fund Services EMEA, Northern Trust

The Changing Risk Profile

By Andrew Gray, Managing Director, Group Chief Risk Officer at DTCC

Analysis

EGCA looks ahead to period of growth

The asset manager is looking to promote a fund of listed biotech firms from its...

Amundi commits future to ESG

French asset manager Amundi has pledged to put ESG at the heart of its...

BNY Mellon’s Pearce talks trends, Brexit and tech

Global Investor spoke to Daron Pearce, chief executive officer of asset...

Amundi’s Perrier eyes next opportunities

Amundi chief executive Yves Perrier spoke to Global Investor

Risk-free rates primed for lift-off

The financial industry is adjusting to life after Libor but the final solution...

Whitepapers

  MTS Repo

Productivity and Profitability Opportunities


Read more

Thought Leaders

Standard Bank eyes bright future for African funds

Charl Bruyns, head of investor services at Standard Bank Group

HSBC: Step change in Saudi Arabia

Osman Raie, Managing Director and Senior Advisor - Saudi Equities

JP Morgan: Securities lending growth across the Middle East and North Africa

By Dan Rudd, executive director, JP Morgan

AxeTrading capitalising on Asian expansion

AxeTrading took home the award for Fixed Income Trading Platform of the Year at...

Reaping the benefits from a multi-factor market-neutral equity ETF

The new strategy developed by Amundi ETF combines two offsetting equity market...

Latest Magazine

Global Investor December 18/January 19

Read more

 

Events