The key trends obtained from the Package on equity markets, debt securities, exchange-traded derivatives, over-the-counter derivatives and asset management are outlined in this report.
Key Highlights
Equity
European market capitalisation increased by 11.3% in 2017.
Number of listed companies on European exchanges displayed positive growth for the first time in seven years and IPO investment flows grew by 37.9%.
Number of ETF listings on European exchanges grew in 2017 but the value of ETF trading declined by 12.8%.
Debt securities
Notional amounts of outstanding debt in EU28 grew both in terms of value and share of GDP.
Notional amounts of debt issued by non-financial corporations continued to grow, signalling a change in financing strategies among EU28 businesses.
Outstanding volumes of covered bonds continued to decline, predominantly driven by declining amounts of public sector bonds.
Usage of CDOs as collateral for securitisation issuance grew in 2017 while aggregate issuance declined.
Exchange-traded derivatives
European markets exhibited overall growth with turnover on interest rate futures being up by 29.9% in 2017.
Global trading in commodity derivatives, unlike interest rate derivatives, saw its first year-on-year decline since 2011.
Strong growth in trading of equity derivatives in emerging markets.
Over-the-counter derivatives
Strong appetite for short-term instruments and interest rate derivatives (IRD) contracts in global over-the-counter (OTC) trading.
Gross market value of dollar-denominated IRD contracts declined to lowest level since the financial crisis.
Central clearing continues to make inroads for IRD contracts.
Investment and mutual funds
Net assets of European investment funds reached an all-time high of €14.9 trillion in 2017.
Net assets of alternative investment funds (AIF) saw its ninth consecutive year of growth.
Growth for UK investment funds recovered following the aftermath of the 2016 referendum.
Statistical package
© ECMI
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