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Scoping Studies to Develop a UK Policy Programme which supports Financial Reform in China Theme 2: Asset Management

FOREIGN & COMMONWEALTH OFFICE Published 18 Aug 2016 Contracts Finder

key details

Statuscomplete
Category (CPV) 73000000
Deadline15 Sept 2016
Contract start16 Sept 2016
Contract end16 Dec 2016
Procedureopen
SME suitableNo
OCIDocds-b5fd17-0e5c39fe-adca-11e6-9901-0019b9f3037b

Award

SupplierValueDateStatus
N/A £0 14 Jun 2016 active

description

  • Identify and understand key barriers to global asset diversification faced by Chinese asset managers who look to do so, potential barriers may include but not limited to: asset class, market knowledge, return differentials, regulation, government support, international partners, arrangement of mutual recognition of funds;
  • Explore whether ‘special zone’ arrangement in China (e.g. the Shanghai Free Trade Zone), could support Chinese asset managers in diversifying their portfolios into overseas assets, and how;
  • Intelligence on what knowledge/tools/skills Chinese asset managers need to “Go Global”? What strategies the UK can employ to help Chinese asset managers diversify their portfolios into overseas assets and build up international presence?

documents

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notice history

1 notice published against this procurement.

PublishedTypeRegimeNotice
6 Jul 2017 Award (award) · 32b844c1-e9ff-4176-ada9-fa005345d525-158560

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