Investor Strategy – Page 65
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News
IPE Conference: Russia the biggest political risk facing investors
‘Being boring’ best asset long-term investors can deploy in face of resurgent political risk
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Belgian metal industry launches €100m job-creation fund
Industry scheme invests €40m in fund targeting job-creating company financing
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Study: Decarbonisation limited buffer against 'material' carbon price risk
Lower carbon footprint does not necessarily translate into lower carbon financial risk, study shows
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FCLT defends radical ambitions after Myners calls for bolder thinking
Short-termism will not be fixed without ‘rice bowls’ being put at risk
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US election: Trump win raises questions about low-carbon momentum
Election of climate-sceptic president need not spell end of decarbonisation agenda, experts say
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HSBC UK pension scheme adopts climate 'tilted' fund as DC default
Fund targets better risk-adjusted returns, protection against climate change risks
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USS creates head of research role to support high-conviction equity shift
New appointment to help improve equity-investment process
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EIOPA investment-statement review raises harmonisation concerns
Supervisor says peer review shows need for greater ‘supervisory convergence’
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Delta Lloyd AM completes specialist teams in ongoing strategy revamp
Asset manager to focus on ‘integrated, sustainable solutions’
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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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Survey shows average TER of 0.6% at Swiss pension funds
Two-thirds of reported costs stem from portfolio management
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Study confirms investment-fund trend for German pension assets
Kommalpha analysis covers period from 2005 to end of 2015
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Features
IPE Expectations Indicator October 2016
The current survey period captured the end of the summer. The number of managers voicing concern about interest rate policy is high. However, the current environment has yet to reflect the alarms of many major investors and the survey results indicate most managers expect little dramatic near-term movement. Whether it is not yet the season for action, or investors expect the status quo to continue, is yet unclear.
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EU strategic fund urged to 'step up' talks with institutional investors
Investor group calls for changes to EU financial regulation to acknowledge climate risk
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Swiss central bank washes hands of role in pension funds' woes
SNB president says monetary policy cannot help pension funds
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RPMI allocates £700m to proprietary momentum factor mandate
Russell Investments to manage mandate, with strategy designed with RPMI Railpen
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Features
IPE Expectations Indicator September 2016
As time passes since the UK’s decision to leave the EU, some of the trends of the months prior have returned. This includes: outperforming US equity markets and dwindling faith in US dollar strength against the euro and yen (albeit with some volatility) and in sterling, which continues to drift lower after its post-Brexit decline. Whether managers’ expectations have recovered as quickly as these trends is the subject of this month’s review.
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Austrian pension association proposes new long-term savings vehicle
Head of pension fund association also attacks ECB interest rates as ’borderline irresponsible’, expresses hope of greater ’pension coverage
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Italian pension funds drop support for bank rescue fund Atlante 2
Association says casse di previdenza cannot give grants
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UK institutional investors increase inflation hedging by 16%
Second-quarter hedging activity sees pension schemes switch from swaps to bonds