In its 12th iteration, this report focuses on one of the biggest and most dynamic asset management markets in the region—China. It examines regulatory developments and their effect on the asset management industry, key retail product and distribution developments, institutional demand, and cross-border product and distribution opportunities.
This report includes two 24-page strategic overviews to supplement the full report. The 1Q 2017 Strategic Overview is available in April 2017, and the 2Q 2017 Strategic Overview is available in June 2017.
Data comes from proprietary surveys of asset managers in China, and more than 30 interviews with asset managers, distributors, regulators, and other industry executives.
Reasons To Purchase:
- Understand the key trends in China’s asset management industry and potential strategies for foreign asset managers
- Analyze the onshore exposure of existing wholly foreign-owned enterprises
- Assess the competitive landscape of China’s asset management industry focusing on foreign managers’ entry routes
- Review China’s retirement market and assess opportunities for managers in this sector