European Financials in 2025 – M&A, Rate Cuts and Our 10 Predictions: BI Replay
After an 80% rally over two years, Europe’s banks face a pivotal year in 2025, encompassing revenue drag from policy rate cuts, rising cost or risk and a resurgence in M&A. Higher rates change the fortunes of life insurance businesses, claims inflation challenges P&C insurers and asset managers face margin pressure. Join BI analysts to cover the 2025 outlook for banks, insurers, real estate, asset managers and exchanges, where we will also overview our Top 10 predictions for the year.