REPORT
Preqin Risk Monitor: Managing Alternative Assets to Minimize Risk and Maximize Return

By Preqin

The alternatives landscape is evolving at an unprecedented pace. Elevated inflation, higher interest rates, supply chain restrictions, and geopolitical tensions are increasing risk for existing and new investments.

Preqin’s deal-level research can help you navigate challenging markets in the year ahead. With our Risk Monitor series, we focus on the key issues affecting LPs in private capital markets, including:

  • Asset allocation
  • Manager selection
  • Deal valuations
  • Performance

The Preqin Risk Monitor: Managing Alternative Assets to Minimize Risk and Maximize Return report holds key highlights from the Risk Monitor series. Read expert research and commentary providing key analysis on the risks and opportunities in the year ahead.