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