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Ana Maria Ceh

13 February 2026
THE ECB BLOG
Europe’s largest asset managers serve investors across the EU. Yet they remain supervised solely at national level, creating potential blind spots for risks. This calls for a European approach to their supervision, which could also foster cross-border financing.
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JEL Code
E50 : Macroeconomics and Monetary Economics→Monetary Policy, Central Banking, and the Supply of Money and Credit→General
G20 : Financial Economics→Financial Institutions and Services→General
G30 : Financial Economics→Corporate Finance and Governance→General