Private Debt Investor’s LP Perspectives 2022 Study is our annual examination of institutional investors’ approach to alternative asset classes. It aims to provide a granular view of the market, both current and future, by gathering insight on investors’ asset allocation, propensity to invest and performance predictions.
It is a global study, reflected in the questions and the respondents, which allows for meaningful views and cross-regional comparisons across asset classes. The questions are reviewed annually in order to reflect market developments and shifts in sentiment.
For the 2022 study, we surveyed 111 institutional investors. Fieldwork was carried out from August to September. Participation is always anonymous.