AMWatch

MFS: The biggest fear of Nordic institutional investors is market asset bubbles

Nearly all Nordic institutional investors highlight market asset bubbles as their biggest concern, an MFS Investment Management survey states. The coming decade will yield lower investment returns than they have been historically, the asset manager predicts.

Per Künow, managing director of Nordic institutional sales at MFS. | Photo: PR / MFS Investments

97 percent of Nordic Institutional investors say that market asset bubbles are their biggest concern, according to a new survey conducted by MFS Investment Management.

This is the highest percentage of any region that features in the survey, which is entitled Institutional Investor Compass. Meanwhile, 70 percent fear a global recession, and 57 percent say stock market volatility is one of their main concerns.

Read the whole article

Get 14 days free access.
No credit card required.

An error has occured. Please try again later.

Get full access for you and your coworkers.

Start a free company trial today

More from AMWatch

After two years of preparation: Robur launches dark green prestige fund

Sweden's largest fund manager is launching a climate impact fund with Swedbank's insurance unit as anchor investor. "We've had some great interest from larger investors and are in close contact with several potential investors that have expressed an interest," the new fund's portfolio manager tells AMWatch.

Further reading

Related articles

Trial banner

Latest news

Jobs

Latest news from FinansWatch (dk)

Latest news from EnergyWatch

Latest news from ShippingWatch