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Performance Magazine, Issue 8

Making the most of your serve


Today, more than ever, asset managers need to adopt an investor oriented mind-set and re-build the trust between our industry and our investors. Asset management stakeholders must provide assurances that we have learned from the past and not underscore the importance of implementing a meaningful risk management framework. Embarking on such a framework requires asset managers to think carefully about what risk management means in today’s environment: what does it protect us from and what risks we should anticipate in this an era of uncertainty?

In this issue of, Performance Magazine, we address a variety of topics that help asset managers evaluate risk from all baselines.

In this issue

Market buzz

  • Post-crisis asset management environment - Growth in deteriorating markets
  • Data quality in asset management
  • Asset management - New deal
  • Share class hedging - A market overview

External perspective

  • Challenges and opportunities in financial inclusion
  • White paper on pensions and IORP - Directive review
  • Achieving better international distribution
  • Qualitative fund ratings - A cross-border perspective

Regulatory angle

  • MiFID II - Key challenges for asset managers
  • Custodian responsibilities - The evolving role of fund depositary
  • The AIFMD for fund service providers - Taking a strategic approach

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