- Why Europe and the UK are attracting renewed global investor interest, as asset managers rebalance exposure amid rising “US risk” and geopolitical uncertainty
- How geopolitical risk and regulatory fragmentation are becoming core investment inputs, reshaping portfolio construction and cross-border strategies
- The return of active management and active ETFs as European and global managers seek differentiation, pricing power and cost efficiency
- How AI is moving from experimentation to scaled deployment, transforming risk management, portfolio design and client engagement across mature markets
- Why fee pressure and margin compression are accelerating consolidation, partnerships and strategic recalibration across Europe and globally
2026 Top 10 Trends in
Asset Management Report
Explore the Asset Management 2026 Top Trends Report
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