Follow the Money – BI European Financials Monthly Call (april)
European financials face a pivotal year in 2025, as geopolitical headwinds, economic uncertainty, AI and a resurgence in M&A transform the landscape. Banks face revenue drag from policy rate cuts and a potential rise in cost or risk, rate moves change the fortunes of life insurers, claims inflation challenges P&C insurers and asset managers face margin pressure. Join BI analysts at our regular monthly call covering key industry themes and events for European banks, insurers, real estate, asset managers, private equity houses and exchanges.