Industry

Get the latest perspectives on wealth, advisory, institutional, and asset management markets

Life After Employee Benefits
  • 1 day ago

In addition to retirement considerations, any employee preparing to leave a job should plan for life after employee benefits.

Global Investment Management Survey
  • 1 day ago

The May 2025 survey results are from investment professionals across all asset classes, and we provide our predictions on inflation, recession, asset class performance and more.

Expanding the alpha toolkit with shorting
  • 1 day ago

Explore how shorting strategies can enhance alpha generation and risk management in concentrated equity markets.

China's Renminbi Internationalisation: The Next Phase of Current Account Reforms
  • 1 day ago

China’s fifteenth five-year plan (2026–2030), to be unveiled by the National People’s Congress in March, is expected to reshape how the People’s Bank of China manages the renminbi (RMB) exchange rate.

Two wealth management models, one shared future: what Switzerland and Asia can learn from each other
  • 1 day ago

For several years now, Switzerland and Asia have been vying for the title of ‘World's Leading Wealth Management Centre’. The competition is fierce, but it can also be highly instructive.

Three themes and forecasts for financial markets in 2026
  • 1 day ago

As 2026 begins, financial markets appear calm, but beneath the surface dynamics are shifting. Inflation is easing, growth stabilising, and rate cutting cycles are nearing completion. Yet, this year...

Alignment Over Access: Gauging the Fit Between Alternative Investment Strategies and their Fund Structures
  • 1 day ago

By John W. Moore, CFA®, CAIA®, CMT®, Stratview Wealth Management The past few years have seen a surge in alternative investment structures tailored for the wealth management channel. What began as...

Asset Management: Monthly Macro Insights - January 2026
  • 1 day ago

Have critics focused on the wrong credit boom?
  • 2 days ago

In the first decade of the 21st century, “everyone” assumed that hedge funds posed the greatest risk to financial stability. A committee of top regulators rushed to get ahead of the inevitable acci...