About
40% of firms face NAV correction risk. 68% are seriously concerned about republishing NAVs.
In our latest podcast, Barnaby Nelson speaks with Sean Kennedy, Global Head of Investment Operations at FIS®, about why NAV is becoming a core resilience, control and commercial issue across asset management and fund administration.
They discuss:
- Why fund and asset complexity is rising How earlier NAV expectations are reshaping operating models Why contingency NAV and shadow oversight are gaining ground How T+1 and compressed dealing cycles are increasing pressure Why NAV data now matters far beyond fund accounting
NAV is no longer just a back-office process. It is becoming a core data and operating model issue.