Frances Denmark • December 01, 2016
Governance expert Lukomnik argues that the growth of intermediaries has helped create a financial system focused on short-term gain.
Matt Craig • November 28, 2016
The U.K.’s £6.9 trillion asset management industry is a market failure, according to findings from the country’s market regulator.
Julie Segal • November 22, 2016
The organization has joined forces with the Regulatory Compliance Association to boost asset manager compliance with its set of industry best practices.
Julie Segal • November 18, 2016
Competition and scale don’t bring lower fees for investors, the Financial Conduct Authority finds in a new report.
Daniel Nadler • November 18, 2016
The billionaire’s election victory may hamper the clean energy and technology industries, but other aspects of the new economy are booming.
Leanna Orr • November 09, 2016
Analysts have begun to weigh in on how a Trump presidency will affect markets and which sectors will see the greatest change.
Craig Mellow • November 08, 2016
Pending disruption to the buy-side/sell-side value chain in Europe will likely produce new winners — and losers.
Bailey McCann • October 25, 2016
Interest from big players like BlackRock and TPG could help to create more robust metrics around socially responsible investing.
Julie Segal • October 20, 2016
Several prime money market funds have started trading above or below $1.00 NAV, just days after new rules were enacted. Investors are grappling with how to adjust to the new landscape.
Daniel Nadler • October 12, 2016
A so-called regulatory sandbox proposed by U.S. lawmakers could pave the way for sensible fintech regulation.
Julie Segal • October 12, 2016
The New York money manager wants a suit filed by a former employee over funds offered by the firm’s retirement plan to be dismissed.
Andrew Barber • October 07, 2016
Pound sterling experiences flash crash; Merrill moves to retirement fees; Schwab joins ETF cost-cutting; protectionism hot topic at IMF.
Andrew Barber • October 06, 2016
Guterres elected as UN Secretary General; Theranos to shut down labs; EU group to discuss transaction tax.
Andrew Barber • October 05, 2016
IMF projections see U.S. slowdown, problems in commodity-centric emerging markets; BlackRock slashes some ETF fees; U.S. oil supply dips; VP candidates battle.
Andrew Barber • October 04, 2016
India central bank lowers rates; Brexit jitters send pound down, stocks up; Bass Pro Shops merges with Cabela’s.
Julie Segal • October 04, 2016
The banks in our annual ranking of the World’s Largest Global Custodians cite new requirements of asset managers as a top business driver.
Philip Pearson • October 02, 2016
This week the SEC begins its test on trading for small-cap stocks. Here’s what investors should expect.
Craig Mellow • September 28, 2016
Weak growth and divisive politics post threats to global trading system, but the former WTO head insists the true picture is brighter.
Andrew Barber • September 21, 2016
Ahead of FOMC, BOJ decides to focus on yield curve; OECD lowers global GDP outlook; Microsoft announces share repurchase; SEC probes Exxon environmental accounting.
Andrew Barber • September 20, 2016
New York bombing suspect apprehended; eastern EU members demand no special deal for Brits; Petrobras cuts investment goals.
© 2016 Institutional Investor LLC. All material subject to strictly enforced copyright laws.
Please read our
Term and Conditions and