Asset management is facing unprecedented times. A volatile economy, inflationary pressures and fears of a looming recession are forcing organisations to rethink their portfolios as they navigate the new normal.
As central banks raise their interest rates aggressively, investors are experiencing a crisis of confidence as they choose to remain cautious, gravitating towards managers that they already know and trust. In an increasingly volatile market, business leaders are pioritising transparent, efficient investments that can promise greater returns. Distruptive tech is adding to investment complexities as global geopolitical turmoil threaten to undo years of financial progress and growth.
In this report, we highlight the key strategies and solutions that leading asset managers can embrace as they gear up for volatile market conditions.