Industry

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

ONLINE NOTICES - Regulatory Compliance: Change in liquidity Management Tools (LMTs)
  • 14 hours ago

4th French asset management group, Ofi Invest Asset Management provides access to a broad range of investment, extensive experience in bespoke asset management, and services adapted to various inve...

How does EU move to protect deposits impact bondholders?
  • 14 hours ago

Last week, European regulators took another step in their long journey towards a single European banking regime, otherwise known as “banking union”.

The Weekly Brief
  • 27 Apr 2026

The Bank of England (BoE) is in a challenging position as the UK economy battles with still-sticky inflation and questions around the growth outlook. Last week’s data showed headline inflation acce...

Climate Policy
  • 27 Apr 2026

StepStone seeks to integrate climate change considerations at all stages of our investment processes and throughout our internal operations. StepStone supports our clients in meeting their institut...

Middle East Uncertainty Unlikely to Lift the Yen
  • 27 Apr 2026

[External Link] Kei Fujimoto, Senior Economist at Sumitomo Mitsui Trust Asset Management, shared his views on the outlook for the Japanese yen amid Middle East geopolitical tensions. He discussed t...

Central banks take centre stage
  • 27 Apr 2026

A big week for central banks. Will patience prevail?

Europe services slowdown deepens growth concerns
  • 27 Apr 2026

Global manufacturing momentum contrasts with weakening services as central banks stay cautious, oil prices rise, and geopolitics add downside risks to growth.

A changing Federal Reserve
  • 27 Apr 2026

Please join Sphia Salim in discussion with Aditya Bhave, head of US economics research, Mark Cabana, head of US rates strategy, and Alex Cohen, senior G10 FX strategist. We will review Kevin Warsh'...

The role of asset-backed securities in pension scheme LDI portfolios
  • 24 Apr 2026

The US securitised credit market has demonstrated strong risk-adjusted return outcomes, often decorrelated to traditional fixed income assets.