Global Fixed Income Asset Management Market Size study & Forecast, by Type (Municipal Fixed Income Funds, Investment Grade Corporate Fixed Income Funds, High-yield Fixed Income Funds, and Others) and End User (Personal and Commercial) and Regional Analysis, 2022-2029
Global Fixed Income Asset Management Market is valued at approximately USD XX billion in 2021 and is anticipated to grow with a healthy growth rate of more than XX% over the forecast period 2022-2029. Fixed Income Asset refers to a mutual fund that invests in fixed income securities such as government debts, treasury bills, and money markets among others and pays the investors a fixed amount of return over a pre-defined period. These types of funds mainly receive investment from investors that are looking for low-risk investment solutions. The increasing growth in investment trends worldwide and low market risk associated with fixed income funds as well as strategic initiatives from leading market players are key factors accelerating the market growth.
According to Statista – in 2019, the total global net assets of mutual funds registered in the United States were estimated at USD 21.28 trillion, and the total net assets further increased to USD 27 trillion in 2021. Also, growing awareness towards investing in millennials coupled with the rising emergence of digital investment tools & platforms would create a lucrative growth prospectus for the market over the forecast period. However, the low return on investment associated with fixed income funds market growth throughout the forecast period of 2022-2029.
The key regions considered for the Global Fixed Income Asset Management Market study includes Asia Pacific, North America, Europe, Latin America, and Rest of the World. North America is the leading region in terms of market share owing to the presence of leading mutual fund distributors as well as the rising number of investors in the region. Whereas the Asia Pacific is expected to grow with the highest CAGRduring the forecast period, owing to factors such as increasing penetration of leading fund distributors as well as rising digitization in the financial services sector in the region.
Major market player included in this report are:
Axis Bank Limited
IDFC Limited
DSP BlackRock
Tata Mutual Fund
L&T funds Ltd,
Kotak Mutual Fund
Mirae Assets Financial Group
IIFL Fund Limited
Reliance Mutual Funds Ltd
Invesco Ltd.
Recent Developments in the Market:
In September 2020, IDFC Mutual Fund has started rolling out a new campaign named SIFI or `SIP in Fixed Income. The fund house announced this campaign to aware investors of the benefits of investing in fixed income products via Systematic Investment Plans.
In May 2022, France-based BNP Paribas Asset Management (BNPP AM) launched its first Asia-focused fixed income investment fund named Sustainable Asia Cities Bond fund. This new Asia-focused bond fund is classified as an article 9 fund under the EU’s Sustainable Finance Disclosure regime.
In June 2022, Blackrock unveiled a new Paris agreement-aligned exchange traded fixed income fund with a €50m seed from Varma, the Helsinki-based pension insurance company. This new fund named iShares € Corp Bond ESG Paris-Aligned Climate UCITS ETF (CBUJ) is listed on Xetra, an electronic German stock exchange based in Frankfurt.
Global Fixed Income Asset Management Market Report Scope:
Historical Data 2019-2020-2021
Base Year for Estimation 2021
Forecast period 2022-2029
Report Coverage Revenue forecast, Company Ranking, Competitive Landscape, Growth factors, and Trends
Segments Covered
Type, End User, Region
Regional Scope North America; Europe; Asia Pacific; Latin America; Rest of the World
Customization Scope Free report customization (equivalent up to 8 analyst’s working hours) with purchase. Addition or alteration to country, regional & segment scope*
The objective of the study is to define market sizes of different segments & countries in recent years and to forecast the values to the coming years. The report is designed to incorporate both qualitative and quantitative aspects of the industry within countries involved in the study.
The report also caters detailed information about the crucial aspects such as driving factors & challenges which will define the future growth of the market. Additionally, it also incorporates potential opportunities in micro markets for stakeholders to invest along with the detailed analysis of competitive landscape and product offerings of key players. The detailed segments and sub-segment of the market are explained below:
By Type
Municipal Fixed Income Funds
Investment Grade Corporate Fixed Income Funds
High-yield Fixed Income Funds
Others
By End User
Personal
Commercial
By Region:
North America
U.S.
Canada
Europe
UK
Germany
France
Spain
Italy
ROE
Asia Pacific
China
India
Japan
Australia
South Korea
RoAPAC
Latin America
Brazil
Mexico
Rest of the WorldCompanies Mentioned
Axis Bank Limited
IDFC Limited
DSP BlackRock
Tata Mutual Fund
L&T funds Ltd,
Kotak Mutual Fund
Mirae Assets Financial Group
IIFL Fund Limited
Reliance Mutual Funds Ltd
Invesco Ltd.
Please note:The single user license is non-downloadable and non-printable. Global Site license allows these actions.
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