2012 EMEIA asset management risk survey
Our fourth annual survey gathers the perspectives of dozens of industry leaders and offers 12 specific actions to improve risk management processes.

2012 EMEIA asset management risk survey

How are asset managers preparing for Solvency II?

Eurozone forecast: autumn 2012

2012 US asset management risk survey

Asset managers: prepare for FATCA regulations now

Seven challenges for asset management in Asia

Outsourcing in the asset management industry

Fund distribution strategies in Asia-Pacific

Brazil’s economy attracts wave of foreign entrants
Asset management: achieving a competitive advantage
Today’s asset management industry is marked by increased competition, heightened regulatory scrutiny and growing customer demands for more information and greater transparency – all set against the backdrop of a volatile market.
As firms grapple with business issues such as product innovation, evolving fee structures and industry consolidation, they also find themselves needing to devote more time than ever to managing regulatory demands.
Through our Global Asset Management Center, we can help you navigate these challenges by bringing together ideas from 35,000 financial services professionals around the world. The result is seamless, high-quality service, wherever you’re located.
Key issues in today's asset management environment include:
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