In the last 20 years, Europe has established itself as a robust, reliable, and well-regulated funds market. Ireland and Luxembourg have developed into the world’s top cross-border funds centres and Ucits funds have become a gold standard among investors all over the world.
However, the asset management industry is going through a period of upheaval as changing investor preference and industry consolidation promise to reshape the landscape. In the face of this upheaval, what will European fund landscape look like at the end of the decade and what will asset managers need to do to adjust to succeed?
In this Funds Europe survey, conducted in partnership with Citi, we looked at how changes in product development and distribution as well as ongoing consolidation could alter the European landscape.
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