固定收益资产管理市场规模预计将从 2023 年的 67.3 万亿美元增长到 2031 年的 109.2 万亿美元;预计 2023 年至 2031 年的复合年增长率为 6.2%。固定收益资产管理市场趋势包括人口结构变化和投资组合多样化。
固定收益资产管理市场分析
固定收益资产管理市场的增长归因于平衡资产风险(包括投资组合中的各种资产)的重要性日益增加。包括政府债券和公司债券在内的众多固定收益证券提供稳定性和定期收入,使其成为多元化投资的有吸引力的组成部分。资产管理人在创建多元化投资组合以满足投资者的风险承受能力和财务目标方面发挥着至关重要的作用,这推动了市场的发展。此外,预计固定收益资产管理业务的扩张和专属固定收益 ETF 的推出将在预测期内为市场创造机会。
固定收益资产管理行业概览
- 固定收益资产是一种证券,在基金到期前以固定利率或股息向投资者支付报酬。基金到期时,投资者可收回其原始本金。固定收益证券是由政府、公司或其他实体发行的债务工具,用于为其运营提供资金。
- 此外,固定收益基金是除共同基金之外最有效的投资类型之一。它为投资者提供稳定的长期回报。固定收益基金通过向投资者提供预定金额来降低投资风险。投资者进一步利用这笔资金来分散投资组合。
- 在预测期内,全球客户对贷款的需求不断增长,推动了市场增长。
固定收益资产管理市场驱动因素和机遇
- 全球客户越来越喜欢定期支付利息,这推动了固定收益资产管理市场的增长。固定收益工具因其稳定且可预测的利息收入而对投资者具有吸引力;为收入持有者提供可靠的收入来源正在推动市场的发展。
- 资产管理者正在其投资组合中添加一系列固定收益产品,以满足不断增长的消费者需求,从而在预测期内推动市场发展。
- 此外,人们对税收优惠和降低固定收益基金市场风险的日益关注,将推动预测期内固定收益资产管理市场的增长。
固定收益资产管理市场报告细分分析
- 根据资产类别,固定收益资产管理市场分为政府债券、公司债券、市政债券、高收益债券等。
- 预计到 2030 年,政府债券领域将占据固定收益资产管理市场的很大份额。该领域的增长归因于资产管理公司之间为提供投资咨询服务和项目组合管理而建立的合作和伙伴关系数量不断增加。例如,2022 年 9 月,Nippon Life India Asset Management 与 DWS Group 合作,在欧洲推出了印度政府债券交易所交易基金。此次合作涉及多种服务,例如向欧洲客户提供投资组合管理和投资咨询服务。
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固定收益资产管理市场份额按地区分析
固定收益资产管理市场报告的范围主要分为五个区域 - 北美、欧洲、亚太地区、中东和非洲以及南美。北美正在经历快速增长,预计将占据固定收益资产管理市场的重要份额。高盛集团、贝莱德、美国先锋集团、景顺、奥本海默公司、普特南美国控股 I、LLC 和资本集团等众多参与者的存在。人口老龄化加剧,固定收益证券在退休人员和保守投资者中越来越受欢迎。此外,公司正在将其投资组合的很大一部分分配给固定收益,从而在预测期内推动市场发展。
固定收益资产管理市场区域洞察
Insight Partners 的分析师已详细解释了预测期内影响固定收益资产管理市场的区域趋势和因素。本节还讨论了北美、欧洲、亚太地区、中东和非洲以及南美和中美洲的固定收益资产管理市场细分和地理位置。
- 获取固定收益资产管理市场的区域具体数据
固定收益资产管理市场报告范围
报告属性 | 细节 |
---|---|
2023 年的市场规模 | 67.3万亿美元 |
2031 年市场规模 | 109.2万亿美元 |
全球复合年增长率(2023 - 2031) | 6.2% |
史料 | 2021-2023 |
预测期 | 2023-2031 |
涵盖的领域 | 按资产类别
|
覆盖地区和国家 | 北美
|
市场领导者和主要公司简介 |
|
固定收益资产管理市场参与者密度:了解其对业务动态的影响
固定收益资产管理市场正在快速增长,这得益于终端用户需求的不断增长,而这些需求又源于消费者偏好的不断变化、技术进步以及对产品优势的认识不断提高等因素。随着需求的增加,企业正在扩大其产品范围,进行创新以满足消费者的需求,并利用新兴趋势,从而进一步推动市场增长。
市场参与者密度是指在特定市场或行业内运营的企业或公司的分布情况。它表明在给定市场空间中,相对于其规模或总市场价值,有多少竞争对手(市场参与者)存在。
在固定收益资产管理市场运营的主要公司有:
- 高盛集团
- 摩根大通
- 汇丰控股有限公司
- 贝莱德公司
- 美国先锋公司
免责声明:上面列出的公司没有按照任何特定顺序排列。
- 获取固定收益资产管理市场顶级关键参与者的概述
《固定收益资产管理市场分析》调查依据资产类别、最终用户和地域进行。根据资产类别,市场分为政府债券、公司债券、市政债券、高收益债券和其他债券。根据最终用户,固定收益资产管理市场分为企业和个人。根据地区,固定收益资产管理市场分为北美、欧洲、亚太地区 (APAC)、中东和非洲 (MEA) 和南美 (SAM)。
固定收益资产管理市场新闻及最新发展
固定收益资产管理市场预测是根据各种二手和一手研究结果(例如主要公司出版物、协会数据和数据库)估算的。公司在固定收益资产管理市场中采用并购等无机和有机战略。以下列出了一些近期的关键市场发展:
- 2023 年 6 月,汇丰控股有限公司与 Capital Group 资产管理公司的全球企业债券基金合作,面向众多私人客户,包括零售、银行和财富管理客户。通过这种合作关系,投资者可以将资金用于收益率诱人的优质债券,并有可能产生高额未来收入。
(来源:汇丰控股,公司网站)
- 2023 年 3 月,DWS 集团与日本生命保险延长了为期五年的战略联盟,致力于扩大分销范围、研究敏锐度和产品创新。此次合作支持两家公司提供保险咨询和解决方案,并帮助 DWS 集团为日本投资者推出交易所交易基金选择。
(来源:DWS 集团,公司网站)
固定收益资产管理市场报告范围及交付成果
《固定收益资产管理市场规模和预测(2021-2031)》市场报告对以下领域进行了详细的市场分析:
- 范围内涵盖的所有主要细分市场的全球、区域和国家层面的市场规模和预测。
- 市场动态,例如驱动因素、限制因素和关键机遇。
- 未来的主要趋势。
- 详细的 PEST 和 SWOT 分析
- 全球和区域市场分析涵盖主要市场趋势、主要参与者、法规和最新的市场发展。
- 行业格局和竞争分析包括市场集中度、热图分析、关键参与者、最新发展。
- 详细的公司简介。
- Historical Analysis (2 Years), Base Year, Forecast (7 Years) with CAGR
- PEST and SWOT Analysis
- Market Size Value / Volume - Global, Regional, Country
- Industry and Competitive Landscape
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Report Coverage
Revenue forecast, Company Analysis, Industry landscape, Growth factors, and Trends
Segment Covered
This text is related
to segments covered.
Regional Scope
North America, Europe, Asia Pacific, Middle East & Africa, South & Central America
Country Scope
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to country scope.
Frequently Asked Questions
The key players holding majority shares in the global fixed-income assets management market are Goldman Sachs Group Inc; JPMorgan Chase & Co; HSBC Holdings Plc; BlackRock Inc; American Vanguard Corp; FMR LLC; Invesco Ltd; Oppenheimer & Co Inc; Putnam U.S. Holdings I, LLC; and Capital Group.
The global fixed income assets management market is expected to reach US$ 109.2 trillion by 2031.
The global fixed income assets management market was estimated to be US$ 67.3 trillion in 2022 and is expected to grow at a CAGR of 6.2% during the forecast period 2023 - 2031.
Changing demographics and diversification of investment portfolios which is anticipated to play a significant role in the global fixed income assets management market in the coming years.
The increasing popularity of regular interest payments, growing focus on tax savings, and lower market risk for fixed income funds are the major factors that propel the global fixed income assets management market.
Trends and growth analysis reports related to Banking, Financial Services, and Insurance : READ MORE..
- Goldman Sachs Group Inc
- JPMorgan Chase & Co
- HSBC Holdings Plc
- BlackRock Inc
- American Vanguard Corp
- FMR LLC
- Invesco Ltd
- Oppenheimer & Co Inc
- Putnam U.S. Holdings I, LLC
- Capital Group
The Insight Partners performs research in 4 major stages: Data Collection & Secondary Research, Primary Research, Data Analysis and Data Triangulation & Final Review.
- Data Collection and Secondary Research:
As a market research and consulting firm operating from a decade, we have published and advised several client across the globe. First step for any study will start with an assessment of currently available data and insights from existing reports. Further, historical and current market information is collected from Investor Presentations, Annual Reports, SEC Filings, etc., and other information related to company’s performance and market positioning are gathered from Paid Databases (Factiva, Hoovers, and Reuters) and various other publications available in public domain.
Several associations trade associates, technical forums, institutes, societies and organization are accessed to gain technical as well as market related insights through their publications such as research papers, blogs and press releases related to the studies are referred to get cues about the market. Further, white papers, journals, magazines, and other news articles published in last 3 years are scrutinized and analyzed to understand the current market trends.
- Primary Research:
The primarily interview analysis comprise of data obtained from industry participants interview and answers to survey questions gathered by in-house primary team.
For primary research, interviews are conducted with industry experts/CEOs/Marketing Managers/VPs/Subject Matter Experts from both demand and supply side to get a 360-degree view of the market. The primary team conducts several interviews based on the complexity of the markets to understand the various market trends and dynamics which makes research more credible and precise.
A typical research interview fulfils the following functions:
- Provides first-hand information on the market size, market trends, growth trends, competitive landscape, and outlook
- Validates and strengthens in-house secondary research findings
- Develops the analysis team’s expertise and market understanding
Primary research involves email interactions and telephone interviews for each market, category, segment, and sub-segment across geographies. The participants who typically take part in such a process include, but are not limited to:
- Industry participants: VPs, business development managers, market intelligence managers and national sales managers
- Outside experts: Valuation experts, research analysts and key opinion leaders specializing in the electronics and semiconductor industry.
Below is the breakup of our primary respondents by company, designation, and region:
Once we receive the confirmation from primary research sources or primary respondents, we finalize the base year market estimation and forecast the data as per the macroeconomic and microeconomic factors assessed during data collection.
- Data Analysis:
Once data is validated through both secondary as well as primary respondents, we finalize the market estimations by hypothesis formulation and factor analysis at regional and country level.
- Macro-Economic Factor Analysis:
We analyse macroeconomic indicators such the gross domestic product (GDP), increase in the demand for goods and services across industries, technological advancement, regional economic growth, governmental policies, the influence of COVID-19, PEST analysis, and other aspects. This analysis aids in setting benchmarks for various nations/regions and approximating market splits. Additionally, the general trend of the aforementioned components aid in determining the market's development possibilities.
- Country Level Data:
Various factors that are especially aligned to the country are taken into account to determine the market size for a certain area and country, including the presence of vendors, such as headquarters and offices, the country's GDP, demand patterns, and industry growth. To comprehend the market dynamics for the nation, a number of growth variables, inhibitors, application areas, and current market trends are researched. The aforementioned elements aid in determining the country's overall market's growth potential.
- Company Profile:
The “Table of Contents” is formulated by listing and analyzing more than 25 - 30 companies operating in the market ecosystem across geographies. However, we profile only 10 companies as a standard practice in our syndicate reports. These 10 companies comprise leading, emerging, and regional players. Nonetheless, our analysis is not restricted to the 10 listed companies, we also analyze other companies present in the market to develop a holistic view and understand the prevailing trends. The “Company Profiles” section in the report covers key facts, business description, products & services, financial information, SWOT analysis, and key developments. The financial information presented is extracted from the annual reports and official documents of the publicly listed companies. Upon collecting the information for the sections of respective companies, we verify them via various primary sources and then compile the data in respective company profiles. The company level information helps us in deriving the base number as well as in forecasting the market size.
- Developing Base Number:
Aggregation of sales statistics (2020-2022) and macro-economic factor, and other secondary and primary research insights are utilized to arrive at base number and related market shares for 2022. The data gaps are identified in this step and relevant market data is analyzed, collected from paid primary interviews or databases. On finalizing the base year market size, forecasts are developed on the basis of macro-economic, industry and market growth factors and company level analysis.
- Data Triangulation and Final Review:
The market findings and base year market size calculations are validated from supply as well as demand side. Demand side validations are based on macro-economic factor analysis and benchmarks for respective regions and countries. In case of supply side validations, revenues of major companies are estimated (in case not available) based on industry benchmark, approximate number of employees, product portfolio, and primary interviews revenues are gathered. Further revenue from target product/service segment is assessed to avoid overshooting of market statistics. In case of heavy deviations between supply and demand side values, all thes steps are repeated to achieve synchronization.
We follow an iterative model, wherein we share our research findings with Subject Matter Experts (SME’s) and Key Opinion Leaders (KOLs) until consensus view of the market is not formulated – this model negates any drastic deviation in the opinions of experts. Only validated and universally acceptable research findings are quoted in our reports.
We have important check points that we use to validate our research findings – which we call – data triangulation, where we validate the information, we generate from secondary sources with primary interviews and then we re-validate with our internal data bases and Subject matter experts. This comprehensive model enables us to deliver high quality, reliable data in shortest possible time.