IPE Magazine
June 2013
Analysis & Opinion
We were all caught naked
IPE hosted Stanford Business School’s Anat Admati this month, in town promoting The Bankers’ New Clothes, the well-received book she co-wrote with Martin Hellwig of the Max Planck Institute.
03 Jun 2013
Unsubtle financial repression 03 Jun 2013
The banker blame game 03 Jun 2013
Motherhood and apple pie 03 Jun 2013
Waterford Crystal: shattered illusions of safety 03 Jun 2013
Danish fund reverses stance on foreign equity 03 Jun 2013
Leave asset mix to pension funds 03 Jun 2013
The vain search for harmony 03 Jun 2013
The bankers’ new clothes … yet to be made 03 Jun 2013
Dimon’s status quo risks 03 Jun 2013
Hoogervorst decrees 03 Jun 2013
A long-term dream 03 Jun 2013
Fink’s nod to Australia 03 Jun 2013
Transition management for China 03 Jun 2013
Peter Borgdorff, CEO, PFZW 03 Jun 2013
Pensions
Lack of rotation 03 Jun 2013
Keeping hold of deferred members 03 Jun 2013
Satellites in orbit 03 Jun 2013
Switzerland: Rights and responsibilities 03 Jun 2013
Switzerland: Funds play catch-up 03 Jun 2013
Switzerland: Magic number crunching 03 Jun 2013
Switzerland: New challenges for asset managers 03 Jun 2013
Switzerland: Smart on beta benchmarks 03 Jun 2013
Switzerland: Cage fight against complacency 03 Jun 2013
Turkey: Pensions growth ahead 03 Jun 2013
Turkey: Growth assets for the future 03 Jun 2013
Turkey: Diversification prizes 03 Jun 2013
Confusion reigns supreme 03 Jun 2013
Fallout from Ruslan and Cyprisia 03 Jun 2013
The coup de grace 03 Jun 2013
Special Report
The Euro-Zone: From imminent catastrophe to exuberant recessio 03 Jun 2013
The Euro-Zone: ‘Whatever it takes’? 03 Jun 2013
The Euro-Zone: A rising tide 03 Jun 2013
The Euro-Zone: Understanding sovereign spreads 03 Jun 2013
The Euro-Zone: The Cyprus syndrome 03 Jun 2013
The Euro-Zone: A dangerous mis-diagnosis 03 Jun 2013
Risk & Portfolio Construction: Un-mixing the market ingredients 03 Jun 2013
Risk & Portfolio Construction: Theory and practice 03 Jun 2013
Risk & Portfolio Construction: Optimising the risk factors 03 Jun 2013
Risk & Portfolio Construction: Portfolio dynamics 03 Jun 2013
Risk & Portfolio Construction: 21st-century portfolio construction 03 Jun 2013
Risk & Portfolio Construction: Villain with a role to play? 03 Jun 2013
Risk & Portfolio Construction: ‘It’s not overly quantitative’ 03 Jun 2013
Risk & Portfolio Construction: ‘Our objective is clear’ 03 Jun 2013
Risk & Portfolio Construction: The only way is up? 03 Jun 2013
Risk & Portfolio Construction: A smart-beta framework 03 Jun 2013
Risk & Portfolio Construction: ‘All equities are black boxes’ 03 Jun 2013
Risk & Portfolio Construction: Revenge of the quants 03 Jun 2013
Risk & Portfolio Construction: Time to diversify 03 Jun 2013
Risk & Portfolio Construction: Always in style 03 Jun 2013
Risk & Portfolio Construction: Don’t let the tails wag the dog 03 Jun 2013
Risk & Portfolio Construction: ‘The wake-up call was 2008’ 03 Jun 2013
Risk & Portfolio Construction: The full toolbox 03 Jun 2013
Risk & Portfolio Construction: From sub-optimal to optimal 03 Jun 2013
Risk & Portfolio Construction: Taming alpha, harnessing beta 03 Jun 2013
Investment
Rock ‘n’ roll yield 03 Jun 2013
Caution in the face of opportunity 03 Jun 2013
Unlocking alpha 03 Jun 2013
Beyond microfinance 03 Jun 2013
Of orange blood and quieting storms 03 Jun 2013
Credit: Signs of exuberance 03 Jun 2013
Credit: When the well goes dry 03 Jun 2013
Credit: Where credit is due 03 Jun 2013
Credit: Smuggling in some spread 03 Jun 2013
The fallacy of CB independence 03 Jun 2013
Analysis & Opinion
We were all caught naked 03 Jun 2013
Unsubtle financial repression 03 Jun 2013
The banker blame game 03 Jun 2013
Briefing
Keeping hold of deferred members 03 Jun 2013
Confusion reigns supreme 03 Jun 2013
Fallout from Ruslan and Cyprisia 03 Jun 2013
ESG Reports
Beyond microfinance 03 Jun 2013
Room for improvement 01 May 2013
Disarming pension funds 02 Apr 2013
Guest Viewpoint
Peter Borgdorff, CEO, PFZW 03 Jun 2013
Daniel Godfrey, CEO, Investment Management Association (UK) 01 May 2013
Felix Goltz, Head of applied research, EDHEC-Risk Institute 02 Apr 2013
How We Run Our Money
Satellites in orbit 03 Jun 2013
Playing it safe 01 May 2013
Swimming against the tide 02 Apr 2013
Investing In...
Credit: Signs of exuberance 03 Jun 2013
Credit: When the well goes dry 03 Jun 2013
Credit: Where credit is due 03 Jun 2013
Off The Record
Unease over debt and politics 03 Jun 2013
Grappling with private equity 01 May 2013
Currency war? What war? 02 Apr 2013
On The Record
Lack of rotation 03 Jun 2013
What is your approach to private equity? 01 May 2013
Passive plays 02 Apr 2013
Pensions In
Switzerland: Rights and responsibilities 03 Jun 2013
Switzerland: Funds play catch-up 03 Jun 2013
Switzerland: Magic number crunching 03 Jun 2013
Securities Services
Innovate to survive 02 Apr 2013
Relationship issues 01 Feb 2013
German re-engineering 01 Dec 2012
Special Reports
The Euro-Zone: From imminent catastrophe to exuberant recessio 03 Jun 2013
The Euro-Zone: ‘Whatever it takes’? 03 Jun 2013
The Euro-Zone: A rising tide 03 Jun 2013
Strategically Speaking
Of orange blood and quieting storms 03 Jun 2013
An emerging markets coup 01 May 2013
Degrees of freedom 02 Apr 2013





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