Investor Strategy – Page 105
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EMIR directive will increase collateral costs for pension funds, PGGM warns
OTC regulation 'putting pressure' on banks, which will pass on costs to pension schemes.
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Swedish roundup: Lantmännan, AP6, Vacse, Skanska
Food giant Lantmännan establishes own pension foundation called the Sprout.
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Norwegian Pension Fund Global moves to protect self from possible Greek exit
Fund shifts toward covered bonds and away from senior debt and hybrids.
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European pension funds kick EFSF investment into long grass
Facility ‘unlikely’ to secure pension fund investment until more details on structure are provided.
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ATP-backed Now Pensions takes on UK's NEST with low charges [amended]
Scheme throws down gauntlet to NEST with 0.3% annual management charge.
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UK roundup: T&N pension plan, L&G, PPF, F&C Asset Management, Hymans Robertson
UK pension plan signs £1.1bn bulk annuity contract to move out of PPF assessment period.
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Consider safe haven bonds outside euro zone, says Mercer
Consultancy urges exposure to AAA-rated and commodity-rich countries such as Norway.
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UK roundup: KPMG, Mercer, Chatham Partners
Asset-backed contributions account for one-fifth of deficit reduction payments, says KPMG.
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France's FRR sees assets, financing ratio slump in Q3
FRANCE – FRR's results show fall in asset value but losses remain limited, it stressed.
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BlueBay responds to EM corporate debt demand with fund launches
Aims to launch EM HY Corporates fund in response to reverse enquiries from European institutions.
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Basel III, Solvency II could provide 'investment options' to pension funds
Schemes could fill gap left by banks, insurance companies, says Lancashire County Council.
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UK pension schemes 'must act quickly' in accessing inflation hedge
As CPI rises above 5%, consultants warn of declining savings following switch from RPI.
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UK pension schemes warming to fiduciary management – Aon Hewitt
Nearly a fifth of schemes have already delegated investment decisions, consultancy says.
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Australian bonds an alternative to UK gilts – Kames Capital
UK schemes could use inflation-linked bonds to hedge against price increases.
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Low bond yields to push UK pension funds into re-risking strategies – JPM
Many schemes expecting to adopt re-risking strategies in 4Q, says JP Morgan Securities Services.
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Danish roundup: ATP, Unipension, PKA
ATP creates fifth directorship on management board, appointing Jens Brøchner.
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Nestlé scheme moves into covered bonds, maintains 30% equity allocation
GERMANY – Allocation is one of highest in country, where schemes tend to invest less than 10% in asset class.
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Dynamic asset allocation boosts returns 3.5% a year – Aviva Investors
Dynamic strategy also reduces overall volatility, while downside risk falls by 4%.