Asset Allocation – Page 75
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Interviews
On the Record: How will your asset allocation change?
Three pension funds - CWPS, ERAFP and Stapi - discuss chnges to their asset allocation
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Features
Asset Allocation: The big picture
Bond yields have been rising, which is not that surprising given that sharp sell-offs in government markets have been reasonably frequent in the multi-year bull-run
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Country Report
Asset Allocation: Pension funds embrace the real
Jim Robinson reviews the recent mandate activity of large Nordic institutional investors
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News
Increasing cash allocation only way to avoid interest-rate 'trap' – MN
Bond losses could be much higher if interest rates rise structurally, chairman warns
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News
France's FRR targets venture capital in latest illiquids allocation step
Pension reserve fund launches tender for up to €200m in segregated mandates
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News
ERAFP, SSGA pension-fund rescue plan calls for repos with ECB
Repos with central bank one of three models set out to alleviate strain of low yields
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Features
Asset Allocation: The big picture
In most elections, pollsters do their best to gauge voting intentions. However, until the votes are cast, experience has shown that exercising a more cautious pre-election stance is probably advised
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Country Report
Asset Allocation: Curves, currency and costs
More than anywhere else, the low and negative interest rate environment is shaping Swiss portfolios. But investment challenges are quite particular, finds Barbara Ottawa
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Special Report
Asset Allocation: The 60/40 question
Joseph Mariathasan asks how multi-asset managers are seeking to prove their worth in a low-return, high-correlation world, when a 60/40 equity/bond portfolio looks hard to beat
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News
German institutions markedly more risk averse than in UK, Netherlands
Study shows 60% of European investors fear missing targets
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News
Pensions rights cuts still loom for Netherlands' largest schemes
Funding at ABP, PFZW, PMT and PME still just above critical level
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News
Wednesday people roundup [updated]
Fondo Cometa, Candriam, PIMCO, Bayside Capital, OECD Centre on Green Finance and Investment, PensionDanmark, Jupiter, Pioneer, IASB, RJ O’Brien, Citigroup Global Markets, Pemberton, ANZ Bank, Xerox HR Services, LCP
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News
Norwegian oil fund should up equity share, government told in split verdict
Majority view in Mork Commission recommends increasing equity allocation to 70%
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News
Belgian pension funds return 1.45% over first half as Brexit hits hard
National occupational pension association points to recovery after ‘very negative’ Brexit impact
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News
Icelandic pension funds shift sharply into direct mortgage investment
Frjalsi more than doubles mortgage debt allocation since January to 5%
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News
Risks, opportunities as UN climate deal entry into force sends 'unequivocal' market signal
Paris Agreement to enter into force on 4 November as EU ratification helps propel it over line
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News
Survey shows average TER of 0.6% at Swiss pension funds
Two-thirds of reported costs stem from portfolio management
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News
Study confirms investment-fund trend for German pension assets
Kommalpha analysis covers period from 2005 to end of 2015
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News
European pension funds back BNPP private debt fund
ERAFP, Pensio B join leading European insurers in SME debt fund
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Features
Nordic Asset Allocation: Finding the answers from within
The increased use of internal investment resources by Nordic investors is a challenge for asset managers, according to Albert Løchte Jensen