5 datasets found
  1. w

    Global Hedge Funds Market Research Report: By Hedge Fund Strategy...

    • wiseguyreports.com
    Updated Jul 23, 2024
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    wWiseguy Research Consultants Pvt Ltd (2024). Global Hedge Funds Market Research Report: By Hedge Fund Strategy (Long-Short Equity, Market Neutral, Event-Driven, Global Macro, Fixed Income Arbitrage, High Frequency Trading, Emerging Markets, Commodities Trading, Real Estate, Private Equity, Venture Capital), By Hedge Fund Size (Less than $100 million, $100 million to $500 million, $500 million to $1 billion, $1 billion to $5 billion, Over $5 billion), By Hedge Fund Fee Structure (2/20, 1/20, Performance-based, Fixed fee) and By Regional (North America, Europe, South America, Asia Pacific, Middle East and Africa) - Forecast to 2032. [Dataset]. https://www.wiseguyreports.com/reports/hedge-funds-market
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    Dataset updated
    Jul 23, 2024
    Dataset authored and provided by
    wWiseguy Research Consultants Pvt Ltd
    License

    https://www.wiseguyreports.com/pages/privacy-policyhttps://www.wiseguyreports.com/pages/privacy-policy

    Time period covered
    Jan 7, 2024
    Area covered
    Global
    Description
    BASE YEAR2024
    HISTORICAL DATA2019 - 2024
    REPORT COVERAGERevenue Forecast, Competitive Landscape, Growth Factors, and Trends
    MARKET SIZE 20235.66(USD Billion)
    MARKET SIZE 20246.26(USD Billion)
    MARKET SIZE 203213.9(USD Billion)
    SEGMENTS COVEREDHedge Fund Strategy ,Hedge Fund Size ,Hedge Fund Fee Structure ,Regional
    COUNTRIES COVEREDNorth America, Europe, APAC, South America, MEA
    KEY MARKET DYNAMICSRising demand for alternative investment strategies Growing adoption of ESG criteria Increasing regulatory oversight Technological advancements
    MARKET FORECAST UNITSUSD Billion
    KEY COMPANIES PROFILEDCarlyle Group ,Apollo Global Management ,Fortress Investment Group ,The Carlyle Group ,Point72 Asset Management ,Oaktree Capital Management ,Stepstone Group ,York Capital Management ,Elliott Management ,EJF Capital ,Blackstone Group ,Renaissance Technologies ,KKR & Co. ,Bridgewater Associates ,Citadel LLC
    MARKET FORECAST PERIOD2024 - 2032
    KEY MARKET OPPORTUNITIESAIdriven strategies ESG investing Blockchain technology Emerging market opportunities Liquid alternatives
    COMPOUND ANNUAL GROWTH RATE (CAGR) 10.49% (2024 - 2032)
  2. Hedge Funds in the US - Market Research Report (2015-2030)

    • ibisworld.com
    Updated Sep 15, 2024
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    IBISWorld (2024). Hedge Funds in the US - Market Research Report (2015-2030) [Dataset]. https://www.ibisworld.com/united-states/market-research-reports/hedge-funds-industry/
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    Dataset updated
    Sep 15, 2024
    Dataset authored and provided by
    IBISWorld
    License

    https://www.ibisworld.com/about/termsofuse/https://www.ibisworld.com/about/termsofuse/

    Time period covered
    2014 - 2029
    Area covered
    United States
    Description

    Consistent growth in assets under management (AUM) has immensely benefited the Hedge Funds industry over the past five years. Industry servicers invest capital they receive from a variety of investor types across a broad range of asset classes and investment strategies. Operators collect a fee for the amount of money they manage for these clients and a percentage of gains they are able to generate on invested assets. This business model helped industry revenue climb at a CAGR of 7.7% to $127.4 billion over the past five years, including an expected incline of 5.7% in 2024. Despite economic volatility in 2020 due to the pandemic lowering interest rates, an incline in the value of stocks in 2020 positively affected many hedge funds. The S&P 500 climbed 16.3% in 2020, which helped increase AUM. Although industry professionals question the relevance of benchmarking hedge fund returns against equity performance, given that hedge funds rely on a range of instruments other than stocks, the industry's poor performance relative to the S&P 500 has begun to raise concern from some investors. These trends have affected the industry's structure, with the traditional 2.0 and 20.0 structure of a flat fee on total AUM and a right-to-earned profit deteriorating into a 1.4 and 16.0 arrangement. As a result, industry profit, measured as earnings before interest and taxes, has been hindered over the past five years. Industry revenue is expected to grow at a CAGR of 3.1% to $148.5 billion over the next five years. AUM is forecast to continue increasing at a consistent rate, partly due to the diversification benefits that hedge funds provide. Nonetheless, increased regulation stemming from the global financial crisis and an escalating focus on the industry's tax structure has the potential to harm industry profit. Further economic uncertainty stemming from heightened inflation and persistently high interest rates is anticipated to dampen any large-scale growth for the industry as more hedge funds take a hawkish approach in their investment portfolio moving forward. Regardless, the number of new hedge funds is forecast to trend with AUM and revenue over the next five years.

  3. F

    Fixed Income Assets Management Report

    • datainsightsmarket.com
    doc, pdf, ppt
    Updated Jun 9, 2025
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    Data Insights Market (2025). Fixed Income Assets Management Report [Dataset]. https://www.datainsightsmarket.com/reports/fixed-income-assets-management-1433371
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    ppt, pdf, docAvailable download formats
    Dataset updated
    Jun 9, 2025
    Dataset authored and provided by
    Data Insights Market
    License

    https://www.datainsightsmarket.com/privacy-policyhttps://www.datainsightsmarket.com/privacy-policy

    Time period covered
    2025 - 2033
    Area covered
    Global
    Variables measured
    Market Size
    Description

    The global fixed income asset management market is a substantial and dynamic sector, characterized by its considerable size and consistent growth. While precise figures for market size and CAGR are unavailable, a logical estimation based on industry reports and observed trends suggests a market valued in the trillions, experiencing a compound annual growth rate (CAGR) in the low single digits to mid-single digits over the forecast period (2025-2033). This growth is fueled by several key drivers, including increasing institutional and retail investor interest in fixed income products as a means of diversification and risk management, particularly in times of market volatility. Furthermore, the ongoing development of sophisticated investment strategies and technologies, including algorithmic trading and quantitative analysis, is enhancing efficiency and returns within the sector. The market is segmented by various factors, such as asset class (e.g., government bonds, corporate bonds, mortgage-backed securities), investor type (institutional, retail), and geographic region. The market's growth trajectory is, however, not without its challenges. Regulatory changes and increasing compliance costs present significant hurdles. Fluctuations in interest rates and macroeconomic conditions also exert considerable influence on investor sentiment and investment decisions within the fixed income asset management space. Despite these restraints, the long-term outlook remains positive, driven by the enduring need for stable and predictable income streams in investment portfolios. The leading players – including The Vanguard Group, Pimco Funds, and Fidelity Distributors Corp. – are well-positioned to capitalize on future growth opportunities, continuously innovating and adapting to evolving market dynamics. Their expertise, established brand recognition, and diverse product offerings ensure their continued dominance in the competitive landscape. Geographic expansion into emerging markets also presents significant untapped potential for market expansion.

  4. t

    Hedge Fund Global Market Report 2025

    • thebusinessresearchcompany.com
    pdf,excel,csv,ppt
    Updated Jan 12, 2025
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    The Business Research Company (2025). Hedge Fund Global Market Report 2025 [Dataset]. https://www.thebusinessresearchcompany.com/report/hedge-fund-global-market-report
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    pdf,excel,csv,pptAvailable download formats
    Dataset updated
    Jan 12, 2025
    Dataset authored and provided by
    The Business Research Company
    License

    https://www.thebusinessresearchcompany.com/privacy-policyhttps://www.thebusinessresearchcompany.com/privacy-policy

    Description

    Global Hedge Fund market size is expected to reach $6019.79 billion by 2029 at 3.6%, segmented as by domestic hedge funds, equity long or short funds, event-driven funds, macro funds, fixed-income funds, multi-strategy funds

  5. Canada Asset Management Market Analysis - Size and Forecast 2025-2029

    • technavio.com
    Updated Feb 15, 2025
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    Technavio (2025). Canada Asset Management Market Analysis - Size and Forecast 2025-2029 [Dataset]. https://www.technavio.com/report/canada-asset-management-market-analysis
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    Dataset updated
    Feb 15, 2025
    Dataset provided by
    TechNavio
    Authors
    Technavio
    Time period covered
    2021 - 2025
    Area covered
    Canada
    Description

    Snapshot img

    Canada Asset Management Market Size 2025-2029

    The Canada asset management market size is forecast to increase by USD 9.85 billion at a CAGR of 6.3% between 2024 and 2029.

    Canadian Asset Management Market is experiencing significant growth, driven by the increasing number of high-net-worth individuals and the launch of new investment funds. This expanding demographic presents a substantial opportunity for asset management firms to cater to their unique investment needs. However, the market faces notable challenges. Regulatory and compliance pressures continue to mount, requiring firms to invest heavily in technology and human resources to ensure adherence. These pressures stem from increasing scrutiny on transparency, data security, and ethical business practices.
    As such, asset management firms must navigate this complex regulatory landscape while maintaining a competitive edge. To capitalize on market opportunities and effectively manage these challenges, firms should focus on innovation, operational efficiency, and strategic partnerships. By staying abreast of regulatory changes and investing in advanced technology, firms can streamline processes, enhance client experiences, and build trust in an increasingly competitive market.
    

    What will be the size of the Canada Asset Management Market during the forecast period?

    Explore in-depth regional segment analysis with market size data - historical 2019-2023 and forecasts 2025-2029 - in the full report.
    Request Free Sample

    In the dynamic Canadian asset management market, quantitative hedge funds employ sophisticated algorithms to manage credit risk, inflation hedging, and other market risks. Active management strategies, including high-frequency trading and global macro investing, remain popular, despite the rise of passive management and index tracking. Risk-adjusted returns, as measured by metrics such as the Treynor ratio and Sharpe ratio, are a key focus for investors. Currency risk, interest rate risk, and geopolitical risk continue to impact portfolios, necessitating careful portfolio optimization and risk management. Fixed income investments offer potential diversification benefits, but come with their own unique risks, such as liquidity risk and operational risk.
    Smart beta and factor investing have gained traction as alternative finance methods for achieving outperformance. Regulatory risk, including changes to tax laws and regulatory requirements, can also impact investment strategies. Market volatility and alternative risk premia are other important considerations for asset managers in the Canadian market. Investors seek to mitigate concentration risk through multi-asset investing and diversification across various asset classes. Performance attribution and portfolio optimization tools help managers evaluate the impact of various factors on returns. Overall, the Canadian asset management market is characterized by a complex and interconnected risk landscape, requiring a nuanced understanding of various market trends and risks.
    

    How is this market segmented?

    The market research report provides comprehensive data (region-wise segment analysis), with forecasts and estimates in 'USD billion' for the period 2025-2029, as well as historical data from 2019-2023 for the following segments.

    Component
    
      Solutions
      Services
    
    
    Source
    
      Pension funds and insurance companies
      Individual investors
      Corporate investors
      Others
    
    
    Class Type
    
      Equity
      Fixed income
      Alternative investment
      Hybrid
      Cash management
    
    
    Geography
    
      North America
    
        Canada
    

    By Component Insights

    The solutions segment is estimated to witness significant growth during the forecast period.

    The Canadian asset management market is witnessing significant growth through the integration of advanced technologies, enhancing asset optimization and management. Technological solutions, including artificial intelligence (AI) and machine learning, are automating processes, improving operational efficiency, and facilitating informed decision-making. Asset tracking and monitoring software is a key offering, providing real-time asset performance insights and minimizing losses while maximizing returns. Scenario analysis and quantitative modeling enable risk management and capital preservation. Digital transformation is driving the adoption of exchange-traded funds (ETFs), private equity, and alternative investments. Wealth management and sustainable investing are gaining traction, with investment advisory services catering to diverse client segments.

    Compliance and governance are crucial, with cloud computing and data analytics facilitating regulatory adherence. Portfolio management, market capitalization, and succession planning are essential aspects of asset management, with investment strategies catering to varying risk tolerances and investment horizons. Capital preservation, income generati

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wWiseguy Research Consultants Pvt Ltd (2024). Global Hedge Funds Market Research Report: By Hedge Fund Strategy (Long-Short Equity, Market Neutral, Event-Driven, Global Macro, Fixed Income Arbitrage, High Frequency Trading, Emerging Markets, Commodities Trading, Real Estate, Private Equity, Venture Capital), By Hedge Fund Size (Less than $100 million, $100 million to $500 million, $500 million to $1 billion, $1 billion to $5 billion, Over $5 billion), By Hedge Fund Fee Structure (2/20, 1/20, Performance-based, Fixed fee) and By Regional (North America, Europe, South America, Asia Pacific, Middle East and Africa) - Forecast to 2032. [Dataset]. https://www.wiseguyreports.com/reports/hedge-funds-market

Global Hedge Funds Market Research Report: By Hedge Fund Strategy (Long-Short Equity, Market Neutral, Event-Driven, Global Macro, Fixed Income Arbitrage, High Frequency Trading, Emerging Markets, Commodities Trading, Real Estate, Private Equity, Venture Capital), By Hedge Fund Size (Less than $100 million, $100 million to $500 million, $500 million to $1 billion, $1 billion to $5 billion, Over $5 billion), By Hedge Fund Fee Structure (2/20, 1/20, Performance-based, Fixed fee) and By Regional (North America, Europe, South America, Asia Pacific, Middle East and Africa) - Forecast to 2032.

Explore at:
Dataset updated
Jul 23, 2024
Dataset authored and provided by
wWiseguy Research Consultants Pvt Ltd
License

https://www.wiseguyreports.com/pages/privacy-policyhttps://www.wiseguyreports.com/pages/privacy-policy

Time period covered
Jan 7, 2024
Area covered
Global
Description
BASE YEAR2024
HISTORICAL DATA2019 - 2024
REPORT COVERAGERevenue Forecast, Competitive Landscape, Growth Factors, and Trends
MARKET SIZE 20235.66(USD Billion)
MARKET SIZE 20246.26(USD Billion)
MARKET SIZE 203213.9(USD Billion)
SEGMENTS COVEREDHedge Fund Strategy ,Hedge Fund Size ,Hedge Fund Fee Structure ,Regional
COUNTRIES COVEREDNorth America, Europe, APAC, South America, MEA
KEY MARKET DYNAMICSRising demand for alternative investment strategies Growing adoption of ESG criteria Increasing regulatory oversight Technological advancements
MARKET FORECAST UNITSUSD Billion
KEY COMPANIES PROFILEDCarlyle Group ,Apollo Global Management ,Fortress Investment Group ,The Carlyle Group ,Point72 Asset Management ,Oaktree Capital Management ,Stepstone Group ,York Capital Management ,Elliott Management ,EJF Capital ,Blackstone Group ,Renaissance Technologies ,KKR & Co. ,Bridgewater Associates ,Citadel LLC
MARKET FORECAST PERIOD2024 - 2032
KEY MARKET OPPORTUNITIESAIdriven strategies ESG investing Blockchain technology Emerging market opportunities Liquid alternatives
COMPOUND ANNUAL GROWTH RATE (CAGR) 10.49% (2024 - 2032)
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