2017 Fintech Predictions – the year of macro risks
It is this time of year again where most of us willingly and willfully make fools out of ourselves trying to predict the future of our industry. The momentous electoral events we have witnessed and those coming up in 2017 remind me that, even more so for the next 12 months, macro risks will rule and influence the state of financial services and fintech. I will limit myself to comments pertaining to the US and Europe. I have already attempted to decipher a Trump presidency in a previous post, see here. Suffice it to say there will be winners and losers in the five sectors of the industry – lending, capital markets, asset management, payments and insurance.
Dec-12-2016, 05:05:08 GMT