Funds and portfolio management institutions: an international survey
Gespeichert in:
Format: | Buch |
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Sprache: | English |
Veröffentlicht: |
Amsterdam u.a.
North-Holland
1991
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Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | XIX, 449 S. graph. Darst. |
ISBN: | 0444888950 |
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adam_text | Funds and Portfolio Management Institutions, edited by S. Preda
© Elsevier Science Publishers B. V. (1991) x xix
Contents
Chapter I
The Situation and the Outlook for Funds and Portfolio Management Institutions
in:
France
by Joel Metais
Professor of Economics, CREFED (Centre de Recherche sur le Financement
de 1 Economie et les Desequilibres), Universite de Paris Dauphine, Paris
1. Introduction 3
2. Funds and portfolio management institutions: the historical back¬
ground 4
2.1. UCITs: a fast growing industry 5
2.2. The growth of life insurance and supplementary pension
schemes 7
2.3. A typical French investment vehicle: The SCPI 9
3. The reasons for a success story 9
3.1. The decline of household savings propensity 9
3.2. A new portfolio behaviour from investors 11
3.3. An enlarged scope for institutional management of savings ... 13
4. Perspectives and problems ahead 16
Germany
by Joh. Heinrich von Stein
Professor of Banking, Universitat Hohenheim, Stuttgart
1. Concept 19
2. The development of the investment business in Germany 19
3. Basics of German investment laws 20
4. Market organisation 22
4.1. Institutions 22
4.2. Forms of investment: funds offered to the public and closed end
real estate funds 25
4.2.1. Fixed interest funds 26
4.2.2. Equity funds 26
x
Contents xi
4.2.3. Open end real estate funds 27
4.2.4. Closed end real estate funds 27
4.2.5. Separate assets for holdings 28
5. Taxes and unit trust investments 28
6. Importance of investment placements for private and institutional
investors 28
6.1. Private investment placements 28
6.2. Institutional investors 31
7. Prospectus 31
Great Britain
by Brian Chiplin, Dean of the Faculty of Law and Social Sciences and
Director of the Institute of Financial Studies, University of Nottingham,
Nottingham
and Mike Wright, Professor of Financial Studies and Director of the Centre
for Management Buy out Research, University of Nottingham, Nottingham
1. Introduction 33
2. Personal assets and liabilities in the U.K 34
3. The main sectors 36
3.1. Unit Trusts 36
3.2. Investment Trusts 36
3.3. Personal Equity Plans (PEPs) 39
3.4. Pensions 40
4. Regulatory framework and relevant legislation 42
4.1. The Financial Services Act 1986 42
4.2. The self regulation organisations 45
4.3. LAUTRO 45
4.4. FIMBRA 46
4.5. IMRO 47
4.6. Polarisation 48
4.7. Best advice and best execution 49
4.8. Commission payments and expenses charges 50
4.9. Advertising 51
4.10. The Social Security Act 1986 52
5. Competition from building societies 52
6. Conclusions and issues for fund managers 54
Italy
by Stefano Preda
Full Professor of Banking, and Co Director of NEWFIN, Bocconi University,
Milan
1. Introduction 57
2. The topics discussed 58
xii Contents
3. The ramifications of the sector 58
4. Basic lines of the regulations 61
5. The supply structure 63
6. Types of products and reference markets 64
7. The potential size of the fund raising markets 66
8. Some typical operating problems of mutual funds 68
9. Some typical operating problems of trust management companies . . 70
10. Some of the negative consequences of the limited range of manage¬
ment institutions operating in Italy 72
11. The economic situation of the funds and portfolio management
institutions in the recent evolution of the Italian market 73
The Netherlands
by Jacques J. Sijben
Professor of Monetary Economics at Tilburg University and at the post¬
graduate School of Banking and Finance at the Tilburg Institute of Advanced
Studies, Tilburg
1. Introduction 81
2. Financial intermediation and disintermediation 83
2.1. The saving investment process 83
2.2. The disintermediation process 85
3. Portfolio management in a macroeconomic setting 88
3.1. Introduction 88
3.2. The efficient market hypothesis 89
3.3. Money supply and stock prices 91
3.4. Bonds and real estate investments 96
4. Portfolio management and global financial imbalances 98
5. Conclusions 103
Appendix 106
The United States of America
by Arnold W. Sametz
Professor of Economics and Finance and Homer Simon Director of Salomon
Brothers Center for the Study of Financial Institutions, New York University,
New York
1. Introduction: the principal financial institutions and markets in¬
volved in funds management 117
2. The period of great (non financial) business expansion and parallel
developments in financial funding and management, 1950 1970 ... 118
3. The 1970 s decade of stagflation financial deregulation, and innova¬
tion 120
4. The great bull stock market 1981 1987; the long economic expan¬
sion without significant inflation but with significant volatility .... 121
5. The October 1987 stock market crash and the end of the bull market 124
Contents xiii
Chapter II
Open End Mutual Funds in:
France
by Francois Delavenne
General Manager of Techniques de Gestion Financiere, Paris
1. The development of the French OPCVM so far 131
2. The novelties of 1989 133
Great Britain
by John Kelly
Director of Barclays de Zoete Wedd Investment Management, London
1. Industry size 137
2. Regulation 139
3. Profitability 141
4. Concluding remarks 142
Italy
by Giulio Baseggio
Chairman of Gestiras, Milan
1. Premise 145
2. The legislative picture 145
3. The market 148
4. The investments 151
5. The collection of funds 152
The Netherlands
by Theodoor Beels
Chief General Manager Algemene Bank Nederland N.V., Amsterdam
1. General 155
2. Mutual investment and spread of risk 155
3. History and recent developments 156
4. Situation in the Netherlands 159
5. Prospects 168
The United States of America
by Yakov Amihud
Professor of Finance, New York University, New York
1. Introduction 171
2. Organizational structure 172
xiv Contents
3. Legal and tax issues 174
3.1. The regulation of mutual funds 174
3.2. Taxation 175
4. Functions of mutual funds 176
5. Major types of mutual funds 177
6. Performance evaluation 177
6.1. Reward to risk 178
6.2. Timing ability 179
6.3. Empirical evidence 180
7. Recent developments in the mutual funds industry 181
7.1. Family of funds 181
7.2. Sector funds and other special funds 181
References 182
Chapter III
Closed End Mutual Funds in:
France
by Jean Michel Lewintre
General Director of Companie Financiere d Epargne et Placements (CFEP),
Paris
1. Introduction 185
2. Origin 185
3. Assets 186
4. What is a venture fund 186
5. Venture capital companies 190
5.1. What are the chief characteristics of a venture capital company? 190
5.2. Who in France invests in venture capital? The origin of capitals 191
5.3. In which companies does venture capital invest in France? .... 191
5.4. Are some fields of activity especially privileged? 191
5.5. What country do French venture capital investors prefer? .... 192
6. The performances of venture capital 192
7. Conclusion: what is the future of venture capital investments in
France? 192
Great Britain
by Paul Draper
Professor of Finance, Strathclyde Business School, University of Strathclyde,
Glasgow
1. Introduction 195
2. Raising of new capital 196
Contents xv
3. Portfolio composition and diversification 199
4. Performance and management costs 203
5. Competition and decline: investment trusts in the savings market . . 207
6. The discount 214
7. Summary 218
References 219
Italy
by Fabio L. Sattin
General Director of Chase Gemina Italia, Milan
1. Introduction 221
2. The current situation 221
2.1. General comments on the Consolidation Act 223
2.2. New legislative bills: observations on the Pellicano proposal . . . 224
2.3. New legislative bills: observations on the Visco proposal 225
3. General considerations 226
The United States of America 231
by Peter Donovan
General Partner Italy Capital Fund, New York
Chapter IV
Real Estate Investment Funds in:
Germany 239
by Gerhard Gathmann
Member of the Board of Deutsche Immobilien Fonds Aktiengesellschaft
(DIFA), Hamburg
Italy 247
by Enzo Berlanda
President of the Finance and Treasury Commission of the Senate, Rome
Switzerland
by Emilio Pietra
Trustee and Business Consultant, Lugano
1. Introduction: the Swiss real estate market 255
2. Real estate investment trusts in Switzerland 256
2.1. Definition of real estate investment trust 257
2.2. The relationships between the property and holdings of the
funds, the management and the shareholders: the Collective
Management Agreement 257
xvi Contents
3. The technical organizational characteristics of the real estate invest¬
ment trust 258
3.1. The Management 258
3.1.1. Characteristics of the Management 258
3.1.2. The activity of the Management Company 259
3.2. The Custodian Bank 260
3.2.1. The characteristics of the Custodian Bank 260
3.2.2. The Depository Bank s activity 260
3.3. The Audit Company 261
3.4. The appraisers 261
4. Funds collection and the price of the shareholding certificate . . . 262
4.1. The collection: the public offering 262
4.2. The price of the certificate: issue price, book value, redemption
price, market price 263
4.2.1. Determination of the book value (net asset value) 263
4.2.2. The determination of the issue price 264
4.2.3. The determination of the redemption price 264
4.2.4. Determination of the stock market price 266
5. The investment of the resources collected and the size and character¬
istics of the real estate investment trusts market 268
5.1. The investment of the resources collected: the purchase and
construction of buildings 268
5.2. The size and characteristics of the market 269
5.2.1. The risk sharing principle: percentages and types of real
estate 269
5.2.2. The risk sharing principle: debt and liquidity 270
6. The financial economic condition of the real estate investment trusts 273
6.1. The sources of the economic situation of real estate investment
trusts: the accounts and the balance sheets 274
6.2. The profitability of the real estate investment trusts 275
6.3. The fiscal treatment 278
The Netherlands 281
by Ruud G.C. Hendriks
Managing Director Institutional Marketing Robeco Group, Rotterdam
Chapter V
Money Market Funds in:
France
by Alexander Jordis Lohausen
Senior Vice President International Financial Development of Caisse Na
tionale de Credit Agricole, Paris
Contents xvii
1. The origin of short term UCITS 297
2. The evolution of short term UCITS as a true treasury product 298
3. Organisational characteristics of UCITS 300
3.1. Type of UCITS 300
3.2. Financial institutions involved with UCITS 301
3.3. Type of investor 302
4. Risk management of UCITS 303
4.1. Breakdown of assets 303
4.2. Categories of short term UCITS 305
5. Risk measurement 306
6. Performance 307
7. Conclusion 308
Italy
by Francesco Taranto
Managing Director of Primegest, Milan
1. Introduction 309
2. The current situation 309
3. The characteristics of the funds in operation (Table 1) 312
4. The Italian money market. Problems and limitations in the manage¬
ment of money market funds 313
5. Performance 316
6. The future of money market funds 319
The United States of America
by Gregory Udell
Professor of Finance, New York University, New York
1. Introduction 325
2. The history of money market funds 326
3. Money market mutual funds vs. money market deposit accounts . . . 329
4. Money market mutual funds as money 333
5. Conclusion 334
References 335
Chapter VI
Pension Funds in:
Germany
by Ernst Bracker
President of the Federal Association of Investment Companies, Frankfurt
1. Introduction 339
2. The current economic and legal situation of pension funds 339
xviii Contents
3. Possible regulatory solutions in the future 343
4. Trends and models for managing pension funds 344
4.1. Model No. 1 Taking pension commitments out of the balance
sheet 344
4.2. Model No. 2 The foundation of a so called relief fund
(Unterstiitzungskasse, which gives no legal right to benefit) . . . 345
4.3. Model No. 3 The individual endowment insurance 346
Great Britain 349
by Peter J. Nowell
Chief Executive Officer of Prudential Corporate Pensions, Reading
Italy
by Sergio Paci
Professor of Banking, University of Verona, Verona
1. Introduction 357
2. Types of funds 357
3. Pension funds in the banking sector 361
4. Pension funds in other sectors 362
5. Perspectives 363
The United States of America
by Stephen J. Brown
Yamaichi Faculty Fellow and Professor of Finance, Leonard N. Stern School
of Business, New York University, New York
1. Introduction 365
2. The institutional environment 365
3. Implications for research and quantitative analysis 368
3.1. Performance measurement 369
3.2. Risk control 370
4. Conclusion 373
Chapter VII
Trust and Portfolio Management in:
Great Britain
by Laurie Juniper
Marketing Director of Barclays de Zoete Wedd Portfolio Management, London
1. Introduction 377
2. Size and development 377
3. Characteristics of market 380
Contents xix
4. Growth of market 380
5. Government policies 381
6. Trends of city institutions 382
7. The private investor 383
8. Regulations 387
9. Institutions serving market now 388
10. Inheritance/conclusion 390
Italy
by Luigi Santedicola
Managing Director of Sige Fiduciaria, Milan
1. Savings management: introductory comments 393
2. Block and personalized management: differences 394
3. Personalized management and fiduciary ownership 395
4. From de iure condito to de iure condendo 395
4.1. Regulations in force 395
4.2. Asset management and reserved activities 399
4.3. The new regulations 401
5. The asset management market 403
6. Organizational aspects of the personalized asset management service 406
Switzerland 411
by Francesco Arcucci
Professor of International Business Economics, University of Bergamo, and
Member of the Executive Board of Banca della Svizzera Italiana, Lugano
The Netherlands
by Frans J. Ballendux
Professor of Finance, Erasmus University, Rotterdam and Director of Pierson
Capital Management B.V., a subsidiary of Pierson, Heldring Pierson N.V.,
Amsterdam
1. Introduction 429
2. The institutionalization of savings 430
3. The allocation of assets across institutions 433
4. The composition of institutional portfolios. Opportunities for asset
managers 436
5. Supply of portfolio management services and regulations 441
6. Performance, professionalisation and opportunities for portfolio
management firms 445
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genre | (DE-588)4143413-4 Aufsatzsammlung gnd-content (DE-588)1071861417 Konferenzschrift 1989 Mailand gnd-content |
genre_facet | Aufsatzsammlung Konferenzschrift 1989 Mailand |
id | DE-604.BV006145109 |
illustrated | Illustrated |
indexdate | 2024-07-09T16:41:02Z |
institution | BVB |
isbn | 0444888950 |
language | English |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-003884913 |
oclc_num | 22732089 |
open_access_boolean | |
owner | DE-703 DE-739 DE-N2 DE-188 |
owner_facet | DE-703 DE-739 DE-N2 DE-188 |
physical | XIX, 449 S. graph. Darst. |
publishDate | 1991 |
publishDateSearch | 1991 |
publishDateSort | 1991 |
publisher | North-Holland |
record_format | marc |
spelling | Funds and portfolio management institutions an international survey ed. by Stefano Preda Amsterdam u.a. North-Holland 1991 XIX, 449 S. graph. Darst. txt rdacontent n rdamedia nc rdacarrier Caisses de retraite Caisses de retraite ram FINANCIAL INSTITUTIONS unbist Gestion de portefeuille Gestion de portefeuille ram INVESTMENT BANKING unbist INVESTMENT TRUSTS unbist Investimentos larpcal PENSION FUNDS unbist Sociétés d'investissement Sociétés d'investissement ram Sociétés immobilières Sociétés immobilières ram TRUST FUNDS unbist TRUSTS unbist Trusts Trusts ram Mutual funds Pension trusts Portfolio management Real estate investment trusts Trusts and trustees Portfoliomanagement (DE-588)4115601-8 gnd rswk-swf Investmentfonds (DE-588)4114047-3 gnd rswk-swf Portfolio Selection (DE-588)4046834-3 gnd rswk-swf Internationaler Vergleich (DE-588)4120509-1 gnd rswk-swf (DE-588)4143413-4 Aufsatzsammlung gnd-content (DE-588)1071861417 Konferenzschrift 1989 Mailand gnd-content Investmentfonds (DE-588)4114047-3 s Internationaler Vergleich (DE-588)4120509-1 s DE-604 Portfoliomanagement (DE-588)4115601-8 s Portfolio Selection (DE-588)4046834-3 s DE-188 Preda, Stefano Sonstige oth HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=003884913&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Funds and portfolio management institutions an international survey Caisses de retraite Caisses de retraite ram FINANCIAL INSTITUTIONS unbist Gestion de portefeuille Gestion de portefeuille ram INVESTMENT BANKING unbist INVESTMENT TRUSTS unbist Investimentos larpcal PENSION FUNDS unbist Sociétés d'investissement Sociétés d'investissement ram Sociétés immobilières Sociétés immobilières ram TRUST FUNDS unbist TRUSTS unbist Trusts Trusts ram Mutual funds Pension trusts Portfolio management Real estate investment trusts Trusts and trustees Portfoliomanagement (DE-588)4115601-8 gnd Investmentfonds (DE-588)4114047-3 gnd Portfolio Selection (DE-588)4046834-3 gnd Internationaler Vergleich (DE-588)4120509-1 gnd |
subject_GND | (DE-588)4115601-8 (DE-588)4114047-3 (DE-588)4046834-3 (DE-588)4120509-1 (DE-588)4143413-4 (DE-588)1071861417 |
title | Funds and portfolio management institutions an international survey |
title_auth | Funds and portfolio management institutions an international survey |
title_exact_search | Funds and portfolio management institutions an international survey |
title_full | Funds and portfolio management institutions an international survey ed. by Stefano Preda |
title_fullStr | Funds and portfolio management institutions an international survey ed. by Stefano Preda |
title_full_unstemmed | Funds and portfolio management institutions an international survey ed. by Stefano Preda |
title_short | Funds and portfolio management institutions |
title_sort | funds and portfolio management institutions an international survey |
title_sub | an international survey |
topic | Caisses de retraite Caisses de retraite ram FINANCIAL INSTITUTIONS unbist Gestion de portefeuille Gestion de portefeuille ram INVESTMENT BANKING unbist INVESTMENT TRUSTS unbist Investimentos larpcal PENSION FUNDS unbist Sociétés d'investissement Sociétés d'investissement ram Sociétés immobilières Sociétés immobilières ram TRUST FUNDS unbist TRUSTS unbist Trusts Trusts ram Mutual funds Pension trusts Portfolio management Real estate investment trusts Trusts and trustees Portfoliomanagement (DE-588)4115601-8 gnd Investmentfonds (DE-588)4114047-3 gnd Portfolio Selection (DE-588)4046834-3 gnd Internationaler Vergleich (DE-588)4120509-1 gnd |
topic_facet | Caisses de retraite FINANCIAL INSTITUTIONS Gestion de portefeuille INVESTMENT BANKING INVESTMENT TRUSTS Investimentos PENSION FUNDS Sociétés d'investissement Sociétés immobilières TRUST FUNDS TRUSTS Trusts Mutual funds Pension trusts Portfolio management Real estate investment trusts Trusts and trustees Portfoliomanagement Investmentfonds Portfolio Selection Internationaler Vergleich Aufsatzsammlung Konferenzschrift 1989 Mailand |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=003884913&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT predastefano fundsandportfoliomanagementinstitutionsaninternationalsurvey |