29 April 2024
3 strategic considerations for asset managers
Aman Bahel, Global Head Strategic Client Development
The general consensus this year is that long-term dynamics will continue to propel the sails for asset management, with investor allocations predicted to increase in 2024 for private credit and private equity. Hedge funds and long-only fixed income strategies follow closely behind. However, not all asset managers are geared for efficient growth over the next 10 years, as the sources of capital pools evolve, investment opportunities diversify, and investors’ exposure requirements change. Inflation, market volatility, and interest rate movements are also often cited as significant concerns for investors and asset managers in navigating sourcing, funding, and managing investments. In Europe, managers are also subject to increasing regulatory change, with the estimated average being around one major regulatory update every 14 months.
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