Market Analysis

We approach development of collective investment scheme and asset management sectors holistically, taking into consideration all factors that can affect such development, which include, in addition to the political and economic environment:

·        Appropriateness of legal and regulatory framework

·        Competence, powers and capacity of the regulatory body

·        Law enforcement capacity

·        The availability of distribution channels

·        The existence of potential operators and service providers

·        Financial market infrastructure

·        Demand – ie, the availability of corporate or household savings or other forms of demand arising through privatisation mechanisms

·        Supply of suitable domestic or foreign assets in which to invest

·        Money transfer and payment services

·        Accounting standards that are suited to funds’ operations and comprehensible to investors

·        Fiscal policy regarding funds and competing savings products

·        Access to media and communications

Case Histories

India

Pakistan

Serbia