This report, the first in a quarterly series, is an analysis of global absolute return (GAR) funds domiciled in Europe. It addresses market sizing, product development, the competitive landscape, and includes fund-level information, and detailed case studies of asset managers offering these products. This report evaluates opportunities at a regional and country level.
Reasons To Purchase:
- Define and size the universe of GAR funds
- Understand the types of funds and strategies that comprise this category
- Evaluate top and bottom asset managers and funds by region and country
- Determine best strategies for new product launches
- Identify factors which could contribute to the success or failure of products through in-depth case studies