abrdn plc is a leading global investment company headquartered in the United Kingdom. Listed on the London Stock Exchange, abrdn operates a broad investment management group focusing on diversified asset management and wealth management solutions. With a rich heritage spanning decades, abrdn specializes in delivering asset management services across equities, fixed income, real estate, private markets, and multi-asset solutions. The group shapes its investment philosophy around innovation and sustainability, emphasizing ESG (Environmental, Social, and Governance) principles and responsible investing. abrdn’s European presence is notable, with portfolio management and operational centers spread across key markets in Europe, including Luxembourg and Ireland. The company’s transparency in regulatory compliance is demonstrated by its registration in the EU Transparency Register, where it has committed to lawful lobbying practices related to financial regulation, investment funds, and asset management frameworks within the EU. abrdn also engages in advocacy concerning market infrastructures, investor protections, and sustainable finance policy developments, aligning with its business interests and client priorities. Its lobbying efforts center on influencing EU financial regulatory environments to foster transparent, fair, and growth-oriented market conditions. The firm’s following of regulatory developments helps it to adjust its strategies and maintain leadership in asset management innovation. Operationally, abrdn manages a variety of investment funds, including alternative investment funds (AIFs), UCITS funds, and specialized portfolios such as logistics and real estate income funds, reflecting a diversified asset base. The company’s governance structure delegates oversight for portfolio and risk management to regulated subsidiaries that operate with legal and operational independence, ensuring compliance with EU regulations. Through systematic engagement with EU institutions, abrdn aims to contribute constructively to regulatory policies impacting asset management and financial markets across Europe. The firm’s commitment to transparency, governance, and sustainability continues to define its market positioning and industry influence within the EU regulatory framework.