TriData Observatory
Cross-domain data product theses, mined nightly from EU industry intersections

Sources de données : Activités de fonds d’investissement sur le marché monétaire ou non monétaire

NACE 64.31 · section L — ACTIVITÉS FINANCIÈRES ET D’ASSURANCE · 13 catégories de données

Quelles données existent réellement sur ce secteur, qui les détient généralement, à quelle granularité et comment les obtenir. public signifie publié ouvertement ; payant est vendu par un fournisseur ; partenariat exige un accord bilatéral ; exclusif est de fait verrouillé par un seul acteur.

Les entrées du tableau sont rédigées en anglais.

Catégorie de donnéesQui les détientGranularitéAccès
pricingFund administrators and fund managers (NAV strike), stock exchanges for listed/ETF share classes, data vendors (Morningstar, Bloomberg…Daily NAV per share class (money market funds often intraday/constant NAV)…public
inventory & supply chainFund managers, custodians and administrators; portfolio holdings disclosed to regulators (SEC N-PORT/N-MFP, ESMA/AIFMD reporting) and…Per-security position per fund, month-end or quarter-end (MMFs: weekly/monthly…public
registry/licensing/permitsNational regulators and supervisors (SEC, ESMA, CSSF Luxembourg, Central Bank of Ireland, BaFin, FCA), plus fund registers for cross-border…Per fund / per sub-fund / per share class authorisation record, per management…public
employment & workforceManagement companies' HR, national statistical offices and central banks (sector employment stats), industry associations (EFAMA, ALFI…Headcount and remuneration aggregates per management company per year; sector…public
financial filingsFund managers and administrators; regulators and filing repositories (SEC EDGAR, national OAMs, CSSF); commercial aggregatorsPer fund annual and semi-annual reports, KIID/KID and prospectus documents…public
incident/safety/claimsRegulators and courts (enforcement actions, fines), management companies' operational-risk and errors-and-omissions records, insurers…Per incident/enforcement case; per NAV-error or compensation event; aggregated…public
transactional/salesFund transfer agents, fund administrators (e.g. BNY Mellon, State Street), platforms/distributors (fund supermarkets, insurance wrappers)…Per subscription/redemption order at share-class level; aggregated to…payant
reviews & sentimentRating and research houses (Morningstar analyst ratings and star ratings, Scope, Citywire manager ratings), platform user reviews…Per fund and per manager rating, monthly/quarterly refresh; article- and…payant
booking/utilization/occupancyFund administrators, managers, and vendors tracking capacity: AUM versus fund capacity, share-class dormancy, soft/hard closes…Monthly AUM per fund and share class; capacity/closure status events per fundpayant
production outputFund managers, administrators and performance vendors (Morningstar, Lipper, GIPS-verified composites)Daily and monthly returns per share class, benchmark-relative performance, risk…payant
communications/marketing performanceManagement companies' marketing teams, distribution platforms, ad-tech and web analytics providers, Broadridge distribution-intelligence…Per campaign / per adviser touchpoint; monthly gross sales attributed to…partenariat
quality & compliance testingDepositaries, auditors, compliance functions of management companies; regulators (breach notifications, MMF stress test results submitted…Per fund per reporting period: UCITS/MMF limit breaches, valuation-error…partenariat
customer demographicsTransfer agents, distributors, platforms and insurers holding the investor register; management companies' investor-base analytics…Per investor account (KYC-level, restricted); aggregated to…exclusif

Compilé par le système de recherche TriData à partir des registres publics, de la structure du secteur et des obligations déclaratives réglementaires ; enrichi au fil de la croissance du catalogue sous-jacent. Cherchez le code lui-même dans la recherche de code NACE.

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