Sale of Preqin for £2.5bn has catapulted founder Mark O’Hare into ranks of Britain’s wealthiest people
Plus, Blackstone becomes a whale in private equity debt and Shari Redstone revives her sale of Paramount
Case is part of a flurry of lawsuits over socially conscious investment decisions
If your company came through the pandemic disruption with sales growth intact, apply for a place in the seventh annual FT-Statista ranking
Swedish buyout company lowers price in agreement that underlines attraction of London’s stock market
Policymakers are directly or inadvertently fuelling the rise of the asset manager lender
Innovative funds are designed to deliver ‘predictable’ monthly cash flow to investors
Deal could value group owned by Graphite Capital at about £100mn as it seeks to expand outside UK
The US buyout group has become one of the biggest buyers of a fast-growing type of risk transfer product
Chair of group set up to manage music rights will exit when $1.6bn purchase is completed
World’s biggest asset manager attempts to balance the demands of European and US clients on decarbonisation
Performance of Ken Griffin and Izzy Englander’s funds extends profitable run for best-known multi-managers
Booming sector has enjoyed annual growth rate of 40% since 2018 as actively managed funds have slumped
Aspirational deals are tricky when the opportunity cost of risk capital is so high
Biden climate adviser John Podesta sits down with Moral Money to explain the administration’s shift in thinking
Plus, Boaz Weinstein vs BlackRock, private equity’s march in the UK, and summer reading recommendations
LGIM’s ETFs bled €2.7bn over first five months of 2024
State-owned fund urges local companies it backs to become more global and grow through acquisitions
Asda backer appoints Houlihan Lokey and Morgan Stanley to lead process for education group BPP
New Mountain Capital founder played minor role in brawl for RJR Nabisco — and spent rest of career avoiding deals like it
Sale of most of FairJourney Biologics means London-based owner GHO Capital realises close to 10-fold return
The $10.5tn money manager emphasises investor choice after a backlash to its advocacy for sustainable investing
Geopolitical risks dominate, along with worries about the UK market and the impact of elections
The lack of exit options for investments has forced some executives to reconsider more swashbuckling strategies
Asia may be worth another look, if you have an appetite for risk
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