Australian regulator seeks ideas for revitalizing listings, curbing risks
Rating activity skewed to downside in early 2025, but outlook is more balanced
Foreign investors increase exposure to Canada, domestic investors add to U.S. holdings: StatCan
The funds would give retail investors exposure to illiquid assets such as private debt, private equity and infrastructure
Court to hear arguments over competing claims on failed alternative fund manager's assets
Review examines post-crisis response in securitization markets, signals CLO concerns
Amid an expected easing in the U.S., the rating agency has a neutral outlook on global bank regulation
PwC proposes an interim $473 million payout to investors
Easing economic, financial conditions point to growth for fund managers
Macro environment, banking sector shifts underpin solid growth — but risks remain