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Regulators tar asset managers and banks with the same brush

Investors are right to be concerned at the way regulators are treating them as banks

Bank of England
Bank of England

Asset managers are nervous, and not just about the markets. As financial regulators complete the post-crisis reforms to banks, the authorities’ attention is increasingly turning towards the investment industry.

This is only to be expected. Given the way the reforms have (rightly) pushed risk from banks into the buyside, regulators need to make sure that the system is robust enough to handle it.

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