In its 13th 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 strategic overviews to supplement the full report. The 1H 2018 Strategic Overview was released in March 2018 and the 2H 2018 Strategic Overview will be available in December 2018.
Data comes from proprietary surveys of asset managers in China, third-party industry associations and regulators, 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 as the landscape changes under recent regulatory reform
- Analyze the regulatory developments taking place in China and the implications they hold for foreign asset managers
- Assess the opportunities for foreign asset managers as China introduces liberalization measures
- Examine the changing competitive landscape for fund management companies and how they are coping with these changes