FlexFunds, in collaboration with Funds Society, is pleased to announce the release of the II Annual Asset Securitization Sector Report 2024-2025, an in-depth analysis of the trends and challenges facing the asset management sector in a constantly evolving global economic environment. This report gathers the perspectives of over 100 investment experts and asset managers from 18 countries across Latin America, the United States, Europe, and Asia.
The report examines how the global economy has influenced asset securitization, identifying the most attractive sectors for asset managers and the strategies experts are adopting to navigate short- and medium-term changes. Download the full report here.
Key topics covered in the report include:
Main variables in 2024 and 2025
What are the most relevant variables when building or rebalancing an investment portfolio?
Most “securitizable” financial assets
Discover which groups of financial assets are most attractive for securitization.
Beyond conventional assets
Find out the experts’ conclusions on including alternative assets in portfolios.
Collective investment vs. separately managed accounts
What does the market think about the future of asset management? Will collective investment dominate, or will separately managed accounts prevail?
Challenges in attracting capital and clients
What is the biggest challenge in raising capital and acquiring clients in the world of investments and asset management?
The impact of technology
How does the use of artificial intelligence impact the asset management industry?
Tools and needs
The report reveals the advantages and disadvantages of various tools and needs in asset management, such as centralized account management and automated or outsourced NAV calculation.
The significance of this report lies not only in the quality of its data but also in the diversity of companies and experts who contributed to its creation. Companies such as Inversiones Security, Compass Group, Cucchiara & Cia, Dentons Ireland LLP, Harneys Fiduciary, Mason Hayes & Curran, AV Securities, Cix Capital, Black Salmon, and others provided their insights on the sector.
The II Annual Report of the Asset Securitization Sector 2024-2025 is an essential tool for industry professionals seeking to understand the evolving dynamics of asset management. With a comprehensive overview of future trends and challenges, this report offers valuable insights for building robust strategies in an increasingly complex financial environment.
Download the full report and discover key trends in asset management and securitization.