Learn how FE fundinfo enables stronger relationships between distribution and asset managers
25 November 2019
Date: Monday, 25th November 2019
Time: 9:30 arrival and breakfast for 10:00 start
Duration: 2 hours
Location: The Hong Kong Bankers Club, 43rd-44th Floor Gloucester Tower, The Landmark Central, Hong Kong
It has always been a challenge for distributors to collect latest fund information in the most efficient, cost effective way while maintaining regulatory and operational compliance. Vice versa for asset managers to ensure distributor partners receiving top-quality data & documents at minimal cost and error.
Join our workshop for Distributors and Asset Managers on 25 November to learn how fundinfo and FE enables stronger relationship between distributors and asset managers via the fundinfo and FE Connect offerings.
Regulatory challenges and informing the end investor: - How fundinfo and FE can provide regulatory data points relevant to the Asia Market, e.g. HK Complex Product data fields - FE fundinfo could surface this data via different channels either +Digital or landing pages and can help the fund selector guide their end investors via fund screening, comparisons and charting.
Connecting the fund distributor and provider: - How asset managers can leverage fundinfo and FE in fund information delivery via dissemination services - Simplifying data exchange via standardised data fields based on the openfunds standard
Insight: - FE Fundinfo Analytics 2.0: How a selector can gain insight via new features including Dashboard, Quick-links, Widgets and upgraded Search Functionalities