Asset Allocation – Page 22
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News
Growing alternatives portfolio saves PFA from worse H1 fate
Danish commercial pensions heavyweight suffers DKK214m business loss in six months, says mainly due to volatile financial markets
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News
Varma neck and neck with Ilmarinen as hedge funds pay off in H1
Finnish pension insurance company joint number one in AUM terms with €56.7bn
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News
Dutch agri fund sells lower-rated govvies
By reducing or eliminating its allocation to countries such as France and Italy, BPL Pensioen wants to prevent excessive exposure to highly indebted countries
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News
Icelandic pension fund foreign allocations shrink after H1 rout, stronger krona
Pension funds hit by 5.4% investment loss in first half of 2022, with foreign assets alone losing 14%, central bank data show
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News
Fondazione Enasarco to invest €500m in Italian bonds
One of the goals of the new strategy was is to cut real estate and increase exposure to liquid asset classes such as bonds and equities
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News
Geneva pension fund invests CHF100m in green bonds
CPEG also bought its first social bond issued by the canton of Geneva for CHF50m to finance projects with a positive social impact
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Opinion Pieces
Viewpoint: Trustees should treat biodiversity as important as carbon emissions
Biodiversity loss carries the same level of existential threat as carbon emissions
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News
NEST appoints HarbourVest as part of £1.5bn private equity push
New mandate will play an important role in helping NEST invest around 5% of its portfolio in private equity
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News
Valida introduces inflation-linked bonds with new strategy
Pensionskasse and Vorsorgekasse both increase its equity allocation but made cuts to euro zone government bonds, among other things
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News
Sampension pushes on with inflation-linked bonds, real assets build up
Danish pension fund uses perceived mispricing, systematic rebalancing tactics to add extra returns
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News
Migros Pensionskasse cuts CO2 footprint to reach 2030 target
The scheme adopted a Paris Aligned Benchmark to its foreign equity portfolio
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News
Dutch physiotherapist scheme goes passive with custom-made ESG benchmark
The fund has swapped €400m in fund investments for a passively managed ESG mandate
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News
KENFO bets on cash, short-term bonds to withstand high inflation
It also gears portfolio strategically towards a balanced asset and risk structure to strengthen the ability to face crises
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News
Portfolio management moves beyond Excel
As the governance and disclosure obligations on pension funds increase, there is clear evidence of a diseconomy of scale
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News
DACH roundup: SOKA-BAU to strengthen private equity, infra investments
Plus: Pensionsfonds increase contracts; Swiss largest firms cut pension liabilities
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News
PKA targets lower carbon by investing DKK5bn in ‘resource-efficient’ equity fund
Danish pension fund manager CIO says firm picked Osmosis IM as part of its new approach to ESG policy
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News
PFZW unveils 50% carbon reduction target for 2030
The Dutch healthcare scheme has also for the first time formulated CO2 reduction targets for its real estate, infrastructure and private equity investments
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Interviews
Italy's Previndai pension fund: On a journey to diversification
Alessandro Ciucci, CFO at Previndai, one of Italy’s largest pension funds, talks to Luigi Serenelli about its diversification strategy built on alternatives
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Asset Class Reports
Credit: Inflation and the bond markets
Risks look likely to be building in credit as central banks wreak collateral damage on economies in their bid to tame inflation
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Features
Fixed income, rates & currency: inflation battle in full swing
As we reach the midpoint of the year, there is little sign that the second half of 2022 will be any less turbulent than the first. The conflict in Ukraine slogs on – a destructive war of attrition, pain and fear. The repercussions are huge, global and unpredictable, be they surging energy prices or impending, but acute, shortages of basic foodstuffs, or of semi-conductors, so vital to 21st century life.