¿Qué gestoras de activos capearon mejor la volatilidad de las bolsas en octubre?

Spanish asset managers generally experienced negative returns during October’s stock market volatility, yet the sector showed resilience in managing client assets. While major banks maintained their dominant market position, smaller specialized firms occasionally outperformed, underscoring that agility and niche strategies can mitigate broader market downturns more effectively than large-scale traditional models. The overall decline in managed funds was primarily driven by negative portfolio performance rather than investor withdrawals, as net capital inflows partially offset the losses. This dynamic indicates that while market fluctuations significantly impact valuations, investor confidence remained relatively stable, with capital continuing to flow into established institutional players, particularly within the banking sector. This article is relevant to open data because it relies on transparent, published financial metrics from third-party consultancies to benchmark performance. Open data enables such comparative analysis, allowing stakeholders to verify claims about market resilience and identify high-performing entities. By making these detailed performance figures accessible, the data supports informed decision-making and promotes accountability within the financial industry, demonstrating how transparent information flows enhance market efficiency.

Source: bolsamania.com
Published on 2023-11-17