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The Malaysian Wealth Market 2006


Published Date: January 2007
Published By: Datamonitor
Page Count: 49
Order Code: R313-18863
 
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Introduction
The Malaysian Wealth Market 2006 is Datamonitor’s guide to the affluent wealth landscape in Malaysia. Following the popularity of Datamonitor’s recent research in the Indian and Chinese markets, the report explores one of the less high-profile emerging wealth markets in the Asia-Pacific region.

Scope
Data was collected directly from governmental sources such as central banks, mutual fund associations and stock exchanges.

Insight into the respective financial services market was obtained through in-depth interviews with the main wealth managers and private bankers.

Sizing and forecasting of high net worth individuals was generated by Datamonitor's proprietary Global Wealth Model

Report Highlights
In 2005 inflation picked up to 3.1%, driven by the government’s raising of gasoline prices to cut the amount it pays to subsidize fuel costs. The government also increased taxes on tobacco and alcohol to help trim the budget deficit.

There is some consensus that it is not the high net worth individuals that are the key to the Malaysian market. Rather, it is those individuals with more than EUR100,000 (USD130,000) that are the most attractive market segment.

For local banking players like Alliance, it is important that they are prepared to face foreign competition head on when it enters at the end of 2006. The provision of wealth management and advisory services is likely to be a key area of improvement for these local players if they are to hang on to their affluent clients going forward.

Reasons to Purchase
Find out why Malaysia is an attractive market and its advantages over other emerging economies.

Find out how large the market is now and how large it will be in 2010

Find out how big the gaps are and what the opportunities for growth will be going forward

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