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- 2025 Global Wealth and Asset Management Outlook - EY
Here are our top 10 resolutions for wealth and asset management leaders to consider in 2025: 10 Adapt to new realities, pivot business models and build resilience As an organization or leader, we resolve to build robust business models and resilient operations – enabling us to pivot quickly in response to changing risks
- Becoming Radically Leaner to Boost Resilience | BCG
The full 2025 Global Asset Management Report: From Recovery to Reinvention is available as a PDF download Cost optimization is an urgent strategic priority if asset managers are to be resilient enough to thrive at every phase of the market cycle
- 2025 midyear investment outlook: The global reset | Invesco US
The global economic and political landscape is shifting rapidly, marked by a broad reordering of trade relations and political alliances around the globe In response, uncertainty measures across global markets soared in the first half of 2025 We make no apologies for acknowledging that there are plenty of things we do not know today
- Schroders Global Investor Insights Survey 2025
The 2025 Global Investor Insights Survey captures the perspectives of a broad spectrum of investors, including pension funds, insurance companies, single family offices, endowments and foundations, official institutions, and wealth gatekeepers Fieldwork was conducted by CoreData Research via an extensive global survey between April and May 2025 The 995 respondents were distributed as follows
- Mapping Out the 2025 Investment Landscape Across Asset Classes
Global markets will face powerful disruptive forces next year How can investors prepare in fixed-income, equity and alternative investment strategies? Investors are grappling with a multidimensional set of challenges as we turn the corner into 2025
- 2025 Global Investment Outlook - Franklin Templeton
Our investment teams provide their outlooks for 2025, covering fixed income, equities, multi-asset, alternative investing and ETFs Please bookmark this page and return periodically to see all the latest views In looking ahead to 2025, we believe in a portfolio approach to managing wealth and assets
- Global Markets in 2025: A Year of Volatility, Resilience, and . . .
Emerging markets showed mixed results: India’s Nifty 50 posted a resilient 6% gain, buoyed by strong tech and banking sectors, while Brazil’s Bovespa rose 7% on commodity demand and interest rate cuts What sets 2025 apart isn’t just the scale of volatility, but its frequency and intensity
- Asset Management Trends 2025 - Global Banking Finance Review
By melding public and private assets, managers can offer clients more diversified and resilient portfolios Oliver Wyman highlights the importance of this trend in achieving better investment outcomes
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