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Global Asset Management Review – Issue 4

By Richard Sheen (UK), Claire Guilbert & Simon Lovegrove (UK) on December 17, 2025
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In the fourth issue of Global Asset Management Review, our cross-border team provide market updates followed by a closer look at some of the key issues impacting the asset management sector:

UK

  • Update on the UK listed fund sector.
  • Overview of funds market and fundraising environment.
  • Tokenisation from pilot to practice: A UK manager’s guide to the FCA’s proposals.
  • Tis the season to set the tone: FCA update on non-financial misconduct and what firms should be doing now.

EU

  • MiFIR and MiFID II review: A further ten key things that EU financial institutions should know.
  • The updated Dutch Fund Decree: Key updates for limited partnerships and investment funds.
  • Commission proposes SFDR changes to simplify disclosures and set product categories.

Australia

  • Australia’s AML/CTF reforms: A new era in financial crime prevention.
  • The Australian regulatory focus on superannuation trustees: 5 practical implications for global asset managers.

UAE

  • DIFC publishes Future of Finance report on alternative investments.

China

  • China’s recent legislative developments bringing more opportunities to foreign fund investors.

United States

  • AI in asset management: Opportunity, oversight, and the path to responsible adoption.

Canada

  • Budget 2025 and financial institutions: Key measures and opportunities.
Photo of Richard Sheen (UK) Richard Sheen (UK)
Read more about Richard Sheen (UK)Email
Photo of Claire Guilbert Claire Guilbert
Read more about Claire GuilbertEmail
Photo of Simon Lovegrove (UK) Simon Lovegrove (UK)
Read more about Simon Lovegrove (UK)Email
  • Posted in:
    Banking, Finance and Securities
  • Blog:
    Global Regulation Tomorrow
  • Organization:
    Norton Rose Fulbright
  • Article: View Original Source

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