Asset manager financials continue to slide in Q2 on account of the Covid-19 crash

(Opalesque) Asset manager financials remain fragile despite the second-quarter market rebound, according to a study. According to asset management strategy consultant Casey Quirk, capital markets are mostly returning to pre-pandemic crisis levels, yet asset manager financials are still feeling the impact from the brief and severe slump earlier in 2020. management firms.

To read this article:

This entry was posted in Syndicated. Bookmark the permalink.

Leave a Reply