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KEY CONTACTS

Simon Harris
Managing Director - Global Insurance and Funds & Asset Management
Simon.Harris@moodys.com

 

US
Marc R. Pinto, CFA
Managing Director - Funds & Asset Management
Marc.Pinto@moodys.com

Robert Callagy
Senior Vice President, Team Leader for U.S. and Canada
Robert.Callagy@moodys.com

 

EMEA
Vanessa Robert
VP – Sr Credit Officer, Team Leader for EMEA and Asia Pacific
Vanessa.Robert@moodys.com

 

Latin America
Jose Angel Montano

VP - Sr Analyst, Team Leader for Latin America
JoseAngel.Montano@moodys.com

RELATED PRODUCTS

Funds & Asset Management

The Funds & Asset Management Group is responsible for Moody's ratings of asset managers, money market funds, fixed-income funds (bond funds and exchange-traded funds), preferred shares and debt issued by closed-end funds, and other alternative investments.​​​

Highlights

  • 17 Jan 2019
    • Record outflows from active mutual funds are credit negative for asset managers
      A record-breaking estimated $369 billion flowed out of long-term mutual funds in 2018, according to year-end data from ICI, despite a more favorable environment for active to outperform passive. ETF flows, contrary to expectations, remained robust. Full Report
  • 7 Jan 2019
    • US asset managers’ Q4 2018 management fee decline of 4% is credit negative
      We anticipate that asset managers will report a 4.4% decline in management fee revenues in Q4 2018 as a consequence of the widespread market volatility experienced during the quarter. Outflows from mutual funds well in excess of $200 billion and the likely fall-off of performance fees will also weigh on revenues.  Full Report​​
  • 15 Oct 2018
    • Asset managers will benefit regardless of midterm election outcome
      Bipartisan momentum behind legislative and regulatory initiatives that will benefit asset managers, such as the JOBS Act 3.0, is unlikely to be altered by the outcome of the November 6 US midterm elections. The compilation bill seeks to improve capital formation and reduce the associated costs for relatively small issuers, and would diversify asset managers’ assets under management and provide new revenue streams. Full Report
Research
Organizations
Please refine your search by Market Segment to get corresponding Rating Activity and Watchlist
  DateDocument Type Title Issuer/Entity
19 Feb 2019 Announcement Moody's announces completion of a periodic review of ratings of FS Global Credit Opportunities Fund FS Global Credit Opportunities Fund
19 Feb 2019 Disclosure Forms Correction Report Disclosure Forms Correction Report
19 Feb 2019 Credit Opinion KazAgro National Management Holding JSC: Update to credit analysis KazAgro National Management Holding JSC
19 Feb 2019 Credit Opinion Baiterek National Management Holding, JSC: Update to credit analysis Baiterek National Management Holding, JSC
19 Feb 2019 Issuer Comment UBS (Irl) Select Money Market Fund - EUR: Update following fund conversion to LVNAV UBS (Irl) Select Money Market Fund - EUR
19 Feb 2019 Issuer Comment UBS (Irl) Select Money Market Fund - GBP: Update following fund conversion to LVNAV UBS (Irl) Select Money Market Fund - GBP
19 Feb 2019 Issuer Comment LGIM US Dollar Liquidity Fund: Update following fund conversion to LVNAV LGIM US Dollar Liquidity Fund
19 Feb 2019 Issuer Comment LGIM Sterling Liquidity Fund: Update following fund conversion to LVNAV LGIM Sterling Liquidity Fund
14 Feb 2019 Rating Action Moody's changes direction of long-term ratings' review for NORD/LB to a review for upgrade, confirms short-term ratings Bremer Landesba...
Deutsche Hypoth...
Fuerstenberg Ca...
Fuerstenberg Ca...
NORD/LB Luxembo...
Norddeutsche La...
Norddeutsche La...
14 Feb 2019 Research Announcement Moody's Europe’s commercial property market operating in a credit favourable environment, but risks increasing
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