In its 14th iteration, this report focuses on one of the biggest and most dynamic asset management markets in the region—China. It examines the retail competitive landscape, institutional demand, and cross-border schemes. It also includes a discussion of key industry themes, including product diversification, opportunities for foreign asset managers, and an overall assessment of the private fund industry.
This report includes two strategic overviews to supplement the full report. The 1Q 2019 Strategic Overview was released in April 2019 and the 4Q 2019 Strategic Overview will be available in December 2019.
Data and qualitative information are derived from proprietary surveys of asset managers in China, third-party industry associations, and regulators, as well as more than 30 interviews with asset managers, distributors, regulators, and other industry executives.
Reasons To Purchase:
- Assess key asset management trends in China to plot the strategic course for asset managers
- Review the development of passive products and examine the opportunities and challenges for managers targeting this sector
- Analyze key market liberalization developments and examine areas of potential for foreign managers
- Understand the private funds segment, including regulations, professional talent, investment strategies, product issuance, distribution channels, and fees