Euro Area: Publication of Financial Sector Assessment Program Documentation-Technical Note on Investment Funds Regulation, Supervision and Systemic Risk Monitoring

Euro Area: Publication of Financial Sector Assessment Program Documentation-Technical Note on Investment Funds Regulation, Supervision and Systemic Risk Monitoring
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Volume/Issue: Volume 2025 Issue 212
Publication date: July 2025
ISBN: 9798229019866
$20.00
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Topics covered in this book

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Banks and Banking , Finance , alternative investment , management directive , data sharing framework , Investment funds regulation , Systemic Risk Monitoring activity , G , money market funds , Mutual funds , Stress testing , Systemic risk assessment , Liquidity risk , Financial sector stability , Europe

Summary

While gradually declining in market share, Europe remains the second largest asset management market globally. The industry is mostly concentrated in a few member states (MS) with a significant amount of delegation of portfolio management services outside of the EU. The majority of funds are held by institutional investors, and the share of funds held by investors outside of the EU continues to grow.