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The asset management, and more specifically the mutual fund industry, is facing major strategic challenges. Although the market is growing overall, its growth attracts a steady stream of new entrants and new products that jeopardize the position and profitability of (large) incumbent firms. In order to cope with this setting, Andreas Mattig focuses on a holistic market model to sketch the mutual fund industry structure. This allows to propose a new measurement approach and to track the industrial dynamics. Based on these theoretical contributions, he concentrates on governance aspects and moulds the results into a practice-oriented strategic framework.
Published by: Gabler Verlag
Publication Date: 2009-09-15
Format: Paperback
ISBN-13: 9783834919380
DOI: 10.1007/978-3-8349-8351-0
Dimensions: 210cm x148cm
Pages: 243