Edtech Company Lists on the NASDAQ
Afya (NASDAQ:AFYA), a Brazilian education company, was listing on the NASDAQ.
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Afya (NASDAQ:AFYA), a Brazilian education company, was listing on the NASDAQ.
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Standard Life Investments (now Aberdeen Standard Investments) developed a new strategy, Global Absolute Return Strategies (GARS), which was architected by Euan Munro, head of multi-asset investing and fixed income, who later became the CEO of Aviva Investors.
However, with no peer group, no standard benchmark, and a product comprised of over 20 separate cross-asset strategies, the Edinburgh-based asset manager found it challenging to gain traction in the market. The higher level of complexity – and the additional fees that came with it – made it difficult to convince institutional consultants of the underlying investment benefits.
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Pantheon Ventures, a private equity firm that invests in infrastructure and real assets, sought to build awareness for an initiative to offer private equity to defined-contribution pension plans and high net worth investors via financial advisors. They faced a complex fundraising environment combined with the need to educate new markets about the value of private equity.
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Sun Life Financial Asia, the Asian insurance arm of the $1 trillion CAD life insurance company, operates in seven countries across the Asia-Pacific region. It wanted to raise awareness of its corporates social responsibility (CSR) initiative, health and financial wellness, through its annual Resolution Runs.
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The new CEO of a global leisure and entertainment company listed on the AIM in London wanted to make acquisitions but didn’t have the buy-in of his senior management team who were skeptical of changes to the company structure.
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Brazil’s largest investment bank, Itaù BBA, wanted to raise its profile in the U.S. and U.K./European media markets focusing on its M&A advisory capabilities, corporate banking services and asset management.
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BCA Research and Ned Davis Research are two of the world’s leading independent global macro research firms. They produce complex, differentiated investment research on the markets and economy.
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DNB, Norway’s largest bank, was relatively unknown in the media outside of Norway. Our task was to raise its global profile as a leading corporate, commercial and investment bank and asset manager in the healthcare, shipping and energy industries.
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MPC Capital, a European real asset investment manager, sought to raise its profile in the Caribbean, U.S. and European media markets among asset owners, family offices, high-net-worth individuals and institutional investors. They had a specific focus on investing in emerging markets renewable energy infrastructure, European real estate, and shipping.
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