2017 Investment Peerview
Industry insights: See how your cash strategy compares
As our survey reports, on all fronts investors are reassessing their short-term fixed income investment portfolios, looking for the strategies and solutions that can best help them navigate the changing global market and regulatory environments.
A GLOBAL BENCHMARK
KEY FINDINGS TO PRESENT
Investment in Money Market Funds Still Strong
64% of respondents will stay the course in stable NAV MMFs and 22% will increase their allocation
76% of respondents will continue with current allocation to floating NAV MMFs while 20% will add to allocation
Investment Policy Changes
Almost half of respondents plan to change their investment policy in the next 6-12 months given evolving regulatory environment
44% of European respondents need more time and/or information before they decide on preferred money market fund structure in response to approaching European MMF reform
43% of those affected investors ranked risk of gating or liquidity fee as the most important factor impacting decision-making
European Money Market Fund Reform Resource Centre
J.P. Morgan is committed to helping you get ahead of the regulatory changes to come. With over 30 years of experience helping liquidity investors navigate through various market cycles, we are uniquely positioned to see you through this period of transition.
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