infographic: mslgroup global institutional investor insight survey

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  • 8/10/2019 Infographic: MSLGROUP Global Institutional Investor Insight Survey

    1/1

    GLOBAL

    INSTITUTIONALINVESTORS REPORT

    Factors now more prominent when evaluatingwhether to invest in a company

    The extra financials increasingly drivingcompany valuations today

    agree environment, social andgovernance factors are key in driving

    a companys valuation

    A landmark piece of research, the survey is one of the first of its kind to examine the

    tangible and intangible factors influencing institutional investors and sell-side

    analysts decision-making around the world. 500 individuals were questioned forthe first year of this MSLGROUP study, and some of the key findings are outlined in

    this infographic. For more, please visit http://msl.gp/giiir

    Global Findings

    Regional Variations

    institutional investorsand sell-side research

    firms questioned

    The Scope

    Countries Covered

    U.S.China

    CanadaUK

    France SwitzerlandLuxembourg

    Singapore

    Hong Kong

    Japan

    Australia

    500

    A good track record meetingearnings expectations

    An equity story thats

    clearly defined

    A demonstrable link between thecompensation of directors andcompany performance

    A high qualityinvestor relations team

    58%

    54%

    51%

    65%of investors

    agree

    95%

    Corporate

    Strategy

    95%

    Quality of

    executive management

    91%

    of respondents believeshareholder activism will becomeincreasingly prevalent, and more global

    77%

    Transparency of

    investor disclosures

    (% of investors agree)(% of investors agree)(% of investors agree)

    85% 64%

    100%

    50%

    Asia

    U.S.

    comparedto

    consider the degree to which directorcompensation aligns with corporate

    performance is important

    consider a digital and social media

    presence important to driving acompanys valuation

    of an asset managers total

    portfolio held for morethan one year

    62% 42%

    100%

    50%

    U.S.

    comparedto

    Europe

    77% 40%

    100%

    50%

    Asia

    comparedto

    Europe

    63% 10%

    100%

    50%

    Asia

    comparedto

    U.S.