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Ernst &Young >Toimialat>Varainhoito - Ernst & Young - Suomi

Varainhoito — katse tulevaisuuteen

Varainhoidon palvelut kehittyvät ennennäkemättömän nopeaa vauhtia. Samanaikaisesti myös kasvun ja riskien hallinta, lainsäädäntö ja viranomaisvaatimukset uudistuvat.

Varainhoidon asiantuntijamme auttavat yritystäsi vastaamaan liiketoiminnan haasteisiin. Syvällisen toimialaosaamme ansiosta voimme tarjota perusteltuja näkemyksiä ja ratkaisuja juuri sinun liiketoimintasi kannalta oleellisiin kysymyksiin.

Globaalin varainhoito-osaamiskeskuksemme avulla liitämme yhteen ihmisiä ja asiantuntemusta ympäri maailmaa. Tietämyksen jakaminen auttaa meitä ennakoimaan toimialan kehitystä ja sen vaikutuksia liiketoimintaasi. Asiakkaanamme saat aina saumatonta palvelua riippumatta siitä, missä päin maailmaa toimit.

Tutustu myös kansainväliseen Asset Management -sivustoomme.

2011 survey highlights: global hedge fund market

Our recent survey, which juxtaposes the views of managers and investors, indicates that the two groups differ on some important matters such as governance, administration, succession and capital raising. How can they bridge these gaps and find consensus? Tap into our findings for insights and analysis.

Brazilian asset management in focus, part 1

Sound macroeconomic and social policies implemented during the past 16 years have delivered an extended period of stability, growth and social gain in Brazil. Buoyed by this growth, the Brazilian asset management industry is thriving. We examine the potential challenges and opportunities that await global asset managers.

Solvency II: the opportunity for asset managers

What is the potential impact of Solvency II on asset managers managing insurance portfolios? Inside, we offer insight into some of the business implications and suggest some areas where asset managers could develop their products and services to meet insurers’ changing requirements. Discover how to prepare.

Eurozone Forecast: outlook for financial services

While preliminary agreements are in place to further insulate Europe’s banks against the risk of disorderly default, there is a sense that these actions are only buying time. Against this uncertain backdrop, our Eurozone Forecast for financial services (pdf, 2mb)  examines economic forecasts for the region’s banking, asset management and insurance sectors.

Top 12 actions for better risk management

Our 2011 Risk Management for Asset Management survey is based on interviews with more than 30 heads of risk and chief risk officers from investment firms across the UK and continental Europe. From the participants’ responses, we developed 12 actions that will likely help firms improve their risk management processes. 

Seven challenges impacting asset management in Asia

Based on insight from industry leaders and clients, we examine the emerging asset management trends and regulatory changes impacting the industry in Asia.

How FATCA will impact alternative investment funds

The Foreign Account Tax Compliance Act (FATCA) will have a far-reaching effect on US and foreign alternative investment funds. Although the new rules aren’t effective until 2013, several steps are critical to the initial FATCA assessment process. We show you how to prepare.

Asian asset management: assessing the tax climate

Asian asset management tax policies offer significant opportunities. We detail the tax environments in Singapore, Hong Kong and Australia and provide insights into how global asset management firms can successfully compete in the Asia Pacific region. Learn more.

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