The key issues that asset managers face’ as seen by leading firm EY.
The worry around BREXIT is so enormous and wide-ranging, that it’s hard to know where to begin in addressing the issues. Some are real, some unfounded, some a deliberate work of fiction while others only just emerging as the tableau of complexity unfolds.
What is clear, is that the answers around either a solution or the opportunities BREXIT presents, differ considerably from industry to industry with Asset Managers having to assess the risk to both the businesses they invest in alongside the risk & opportunities for their own.
Helpfully, consulting firm EY have produced a paper identifying eight key issues for Asset managers as a result of Brexit which you can read here:
If you want to hear from the horse’s mouth about their strategies for overcoming some of the challenges, grab a ticket now for RAOGlobal on Oct 8th and meet the movers and shakers who are err….moving and shaking the market with their effective strategies for responsible investing.