All Topics articles – Page 48
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Strathclyde awards £750m in mandates with 'enhanced yield' strategy
Pension fund to double allocation to short-term enhanced yield strategies
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APG, PGGM warn of bank regulation's impact on pension clearing
Letter calls on European executive to tackle ‘significant’ pressure on repo markets
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Swedish regulator urges pension sector to stress test climate risks
Finansinspektionen builds on recommendation by European Systemic Risk Board for sector to monitor climate risk
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Croatian second-pillar pension funds report strong results
High yields on domestic government bonds contribute to performance
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Jeremy Woolfe: Brexit and the ‘cuppa’
Jeremy Woolfe laments the EU economy’s being distracted by a humdrum cup of tea
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FRR credits equities for 3% return during 'volatile' 2015
Gains in return-seeking portfolio offset by 0.1% return from liability-matching portfolio
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Danish pension funds look for new PPPs after exposure rises 50%
Survey shows main barrier to investment is lack of available projects
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Shier, Verhaegen leave occupational pensions stakeholder group
New names include representatives from RPMI, BT and Italian and Belgian pension associations
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Schroders stresses Dobson's experience as CEO promoted to chairman
Appointment goes against UK corporate governance code
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Tesco appoints LGIM for defined contribution pension fund
UK supermarket opts to outsource new DC plan despite in-house capacity
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NEST appoints EM debt manager but keeps quiet on strategy timeline
UK defined contribution fund says mandate set to account for up to 10% of assets during growth phase
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Industry experts criticise stress tests' 'one size fits all' approach
APK says EIOPA failed to consider unique features of national pension systems
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UK should consider shift to collective individual DC funds – report
Detailed report for Labour opposition proposes slew of reforms
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Swiss institution tenders CHF250m EM bond mandate using IPE Quest
Investor also tenders CHF250m sub-investment-grade high-yield bond mandate
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Wednesday people roundup
AP4, PKA, Nordea, PensionsEurope, ABN Amro Bank, PiP, ABP, City Noble, UBS GAM, ADIC, Queensland Investment, BNP Paribas, Acadian, Aviva Investors, RBC, OM, LGIM, Hermes
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Russian regulator sets out rules for pension fund risk management
Stress testing to begin by 2017
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Asset Class Reports
AP7 returns slump to 6% after record highs of previous years
Results significantly down from previous years of returns well over 30%
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PFA calls lower 2015 returns 'solid', with property producing 12.6%
Danish commercial pensions leader sees profit dive on insurance loss, write-down
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AP4's Andersson steps down after decade heading buffer fund
Chief executive steps down to focus on other interests