Today, Acuiti releases the Q3 2025 Asset Management Derivatives Insight report.
In this quarter’s report, we look at:
- Macro risk sentiment: Debt, dollar and global tensions
- AI strategy: Usage, investment and key concerns
- Private markets
PLUS: Optimising and monitoring margin usage.
This report is based on a survey of the Acuiti Asset Management Expert Network, a group of senior, derivatives-focused executives from across the global market. It is available to asset managers, proprietary trading firms, hedge funds, banks, FCMs and brokers and subscribers. For all other company types, contact Will Mitting for information on subscriptions.
Download the full report below.