This Chatham House ‘City Series’ conference will assess the current geo-economic and macroeconomic environment in Europe, North America and the Asia-Pacific region, considering prospects for the global investment management industry at a time of regulatory uncertainty and political change. Discussions will also provide a timely opportunity to assess the implications of the UK’s vote to leave the EU and what the UK government’s pledge to exit the Single Market will mean for investment management in terms of policy, regulation, business operations, cross-border capital flows and London’s position as an asset management centre.
Sessions will focus on:
- Implications of Brexit and global political developments for financial institutions and investment management;
- Shaping a post-Brexit policy and regulatory framework;
- The evolving landscape for business operations and cross-border investment;
- Scaling up capital markets and delivering value and growth for the ‘real’ economy.