Pension Fund Strategy – Page 26
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News
LGPS funds allocate £455m to Osmosis’s core equity strategy
Osmosis will build the strategies, while UBS Asset Management will act as investment manager, under the current LGPS Framework for Passive Investment Management Services
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UK master trusts don’t survey members on risk appetite
‘Risk considerations are not driven by member views but by expert opinion,’ says Hymans Robertson
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ESG roundup: Asset owners move to standardise climate stewardship
Plus: Just Climate solutions fund raises $1.5bn in institutional capital; Pension funds slow to invest in biodiversity
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Alecta to diversify equities, cut non-Nordic exposure and add indexing
Swedish pensions heavyweight announces first steps in crisis-driven strategy overhaul
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PLSA conference panel pushes for ‘outcome-generating’ investments
Any long-term investment vehicle for the UK should be just as attractive to overseas investors as it is to UK investors
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PLSA supports UK growth investing, but with focus on best outcomes for savers
TPR calls on trustees to focus on protecting savers
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Norway SWF starts psychology research to boost performance capability
NBIM starts research collaboration with Stockholm School of Economics (SSE) to probe importance of psychological safety and resilience in investment
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Italian pension funds lean towards domestic investments, says COVIP
Many pension funds are also expanding their investment strategies in private equity and private debt, according to the pensions regulator
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News
Swiss pension funds set to change SAA to reach bond investment targets
According to Swisscanto, 17% of pension funds surveyed adjusted their strategic asset allocation, and 35% changed allocations tactically.
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Nordic roundup: AMF invests pre-IPO, AP7’s blacklist, LD Fonde 3.1% return
AP7 adds seven coal stocks to blacklist; LD Fonde says growing market jitters could hit returns
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Dutch €9bn steel scheme to focus climate policy on ‘real world change’
The fund also reduced its exposure to emerging market equities due to an increase in geopolitical risk
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German BVV allocates €1.5bn to high rating investment grade bonds
The fund will pursue an active risk management approach, especially in volatile asset classes
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Compenswiss tenders mandate for core+ investments in North American real estate
The scheme plans to diversify its real estate exposure
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Alecta’s new CEO Hasslev: ‘Most important thing is to restore confidence’
Former AMF CIO to replace fired Magnus Billing at helm of troubled Swedish pensions giant
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Interviews
Finland's VER: The strategy to secure government pensions
Timo Löyttyniemi (pictured), CEO of the buffer fund supporting Finnish government employees’ pensions, talks to Carlo Svaluto Moreolo about its investment strategy
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Interviews
On the record: Is there a credit crunch on the horizon?
European pension funds reflect on the possible implications of rising interest rates and the troubles of the US banking sector
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News
Denmark’s P+ picks CIO Kåre Hahn Michelsen to succeed CEO
Labour-market pension fund’s current CIO to take up top role in September, when Kolbye Sørensen retires after 21 years
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News
AP7 hands LGIM large active climate-transition equities mandate
Swedish pensions giant says new partnership is first time it has combined a focus on firms able to transition with active ownership
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NEST advances into private markets as AUM reach £30bn
‘NEST needed an investment framework in place that could rapidly grow’, says Liz Fernando, NEST’s CIO
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Italy roundup: Previndai ups exposure to corporate, government bonds
Plus: Eurofer pushes on with direct investments