The current market instability has important implications for asset managers across Western Europe; this database and accompanying trends report provide a definitive guide to the financial asset holdings of households, non-financial institutions and insurance companies/pension funds on a country-by-country basis from 2002-7.
Key reasons to read this report
- Assess your target client bases liquid asset holdings by product sector to identify which innovative product launches will be most effective
- Identify which product sectors your target client base is investing in, and disinvesting from, to see the important shifts in investment behaviour
- Compare your target client bases importance across countries to assess where your resources in targeting new clients will most pay off