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Changes on the Institutional Investment Horizon
Report

Changes on the Institutional Investment Horizon

Risks drive North American investors to equities, for now

EIU, 2017

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Editorial Rating

7

Qualities

  • Overview
  • For Experts
  • Insider's Take

Recommendation

According to this 2017 survey of institutional investors by the Economist Intelligence Unit, new technologies, a seven-year bull market in equities and basement-level bond yields are just some of the issues North American asset managers must grapple with in 2018. These investors report that their most significant challenge, however, lies in dealing with political and regulatory uncertainty. The institutions’ responses to this environment of political inscrutability reveal some savvy approaches to navigating unforeseeable risks. getAbstract recommends this expert, albeit uneven, report to investors and financial professionals.

Take-Aways

  • In mid-2017, the Economist Intelligence Unit surveyed 143 North American institutional investors to understand how they were handling risks to their assets under management.   
  • These managers reported that the greatest roadblock to meeting their investment objectives was political and regulatory uncertainty in the United States.
  • A majority of survey participants reallocated assets in response, and half of those executives shifted holdings into equities.

About the Author

The Economist Intelligence Unit is an independent research and analysis organization.  


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