Archive of: March, 2016

  • European Asset Managers Are Using MiFID II as a Weapon in the Battle for Global Asset Flows

    Far-sighted European asset managers are forging a commercial advantage out of an unlikely source - the inevitable regulatory reality of MiFID II. This alchemy may help European managers turn the tide against the predominant theme in asset flows since the turn of the century – the seemingly inexorable market share gains made by large US-based managers as they have broadened asset raising efforts outside of their domestic market.