2018 Investor Situations & Needs in Institutional Asset Management – Germany
This report provides detailed information from institutional investors in Germany on return expectations, funding ratios and much more.
This report provides detailed information from institutional investors in Germany on return expectations, funding ratios and much more.
This report provides detailed information from institutional investors in Germany on managers used and products most in demand across equities, fixed income, alternatives, and specialty investments segmented by geography, type of investor and size...
This report provides detailed information from institutional investors in Cont. Europe on managers used and products most in demand across equities, fixed income, alternatives, and specialty investments segmented by geography, type of investor and...
This report provides detailed information from institutional investors in Continental Europe on new business activity, number of managers soliciting, influences on external manager selection decisions, and approach to investing.
This report provides detailed information from institutional investors in Germany on new business activity, number of managers soliciting, influences on external manager selection decisions, and approach to investing.
This report provides detailed information from institutional investors in Continental Europe on SRI considerations for manager decisions and carbon exposure tracking.
This report provides detailed information from institutional investors in Germany on SRI considerations for manager decisions and carbon exposure tracking.
U.K. investment managers are working to maintain and enhance profit margins in the face of downward pressure on management fees.
In their ongoing search for yield, German institutional investors are trimming allocations across fixed income and shifting funds to real assets and certain equity products.
The results of the Greenwich Associates 2018 Continental European Institutional Investors Study reveal three prominent trends that are changing European portfolios and creating new opportunities for asset managers competing in the region.
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