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Main Données de l’industrie

Données de l’industrie

La recherche a été réalisée par notre centre de recherche interne des analystes de marché, des gestionnaires d'actifs et des conseillers. Les données publiques comprenant des dépôts de réglementation, des rapports annuels et des rejets de presse ont été utilisés comme sources principales d'informations pour la réalisation de l'intelligence de données.
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6,157
Institutional Investors
ico
4,003
AUM ($bn) as
at Q4 2020
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6,842
Number of Fund Managers
ico
1.8
Q4 2020 Asset
Flow ($bn)
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18,319
Number of Funds
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11.36%
Q4 2020 Hedge
Funds Performance
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Source of Capital that Allocates to Mutual Funds by Investor Type, Q4 2020
Source of Capital that Allocates to Mutual Funds by Investor Type, Q4 2020
Investors Data
Number of Institutional Investors that Allocate to Mutual Funds, by Region
Number of Institutional Investors that Allocate to Mutual Funds, by Region
Fund managers
Number of Mutual Funds and AUM by Fund Manager Headquarters
Number of Mutual Funds and AUM by Fund Manager Headquarters
Number of Direct Mutual Funds Manager Employees by Fund Manager Headquarters
Number of Direct Mutual Funds Manager Employees by Fund Manager Headquarters
Assets Under Management
Quarterly Mutual Funds Assets Under Management
Quarterly Mutual Funds Assets Under Management, Q4 2014 — Q4 2020 ($bn)
Mutual Funds Assets Under Management by Strategy
Mutual Funds Assets Under Management by Strategy
Assets Flows
Mutual Funds Assets Flows by Strategy
Mutual Funds Assets Flows by Strategy
Quarterly Mutual Funds Assets Flows
Quarterly Mutual Funds Assets Flows, Q1 2015 - Q4 2020 ($bn)
Performance
Quarterly Performance on Mutual Funds, Q1 2015 - Q4 2020
Quarterly Performance on Mutual Funds, Q1 2015 - Q4 2020
Cumulative Performance of Mutual Funds by Geographical Focus. January 2015 - September 2020
Cumulative Performance of Mutual Funds by Geographical Focus. January 2015 - September 2020
Annual Perfomance of Mutual Funds by Top-Level Strategy, 2015-2020 YTD
Quarterly Mutual Funds Assets Flows, Q1 2015 - Q4 2020 ($bn)
Rolling Three-year Volatility/Sharpe Ratio of All Mutual Funds January 2015 - September 2020
Rolling Three-year Volatility/Sharpe Ratio of All Mutual Funds January 2015 - September 2020
Risk/return Metrics for Mutual Funds by Top-Level Strategy
Risk/return Metrics for Mutual Funds by Top-Level Strategy (As at Q4 2020)