Briefings – Page 10
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Canada’s model evolves
Pension funds have tripled in size since 2003, largely thanks to investment returns. Joel Kranc examines the Canadian model
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Cross-Border Pensions: Dutch in first Malta DC set-up
Plegt-Vos is the first Dutch company to relocate a defined contribution plan to Malta. Maarten van Wijk reports
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Investment: Convex protection
With record-low corporate spreads and volatile equity markets, is it time to take a closer look at convertible bonds?
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CEE Equities: Middle ground promise
David Turner assesses why Central and Eastern European equities are catching the eye of many investors
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Briefing: Form Filling
Technical breaches of rules on company dividend payments raise corporate governance issues for investors, finds Stephen Bouvier
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Regulation Roundup: Pension developments in Europe
IPE’s overview of regulatory and legislative changes in the pensions landscape in key European countries
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Capital Flows: Capital flees emerging markets
Capital flight from emerging economies is an important part of the story of global stockmarket volatility and plummeting bond yields
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Asset Management Fees: What’s the going rate?
Despite calls for a greater level of alignment between asset managers and pension funds, alternative fee models have not yet taken off
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Opportunities in Solvency II
What kind of opportunities and challenges does Solvency II, the new regulatory regime for insurance companies, create for pension schemes?
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Briefing: A longevity step-change?
Was 2015’s unexpected increase in the UK mortality rate a blip or a slowing of the mortality improvement rate?
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Financial technology: big data, greater expectations
In an age of big data, investors are making increasing demands on their managers, who are also faced with rising security and regulatory challenges, writes Vanessa Drucker
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Vietnam: Ripe for take-off
Picking up the pace of Vietnam’s privatisation efforts is key to a more robust capital market, argues Thu Hoai Nguyen
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ESG: Accounting for nature
Elisabeth Jeffries reports on a new management tool to help companies assess environmental risks and their use of natural resources
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Strategically speaking: Loomis Sayles
This year, Loomis Sayles will be celebrating the fifth anniversary of its European headquarters in London. The Boston-based active manager has plenty to cheer about its presence this side of the Atlantic
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Hedge Funds: Efficiency or waste?
Negative sentiment against hedge funds is overblown providing investors can identify the right managers using a robust approach, according to Chris Redmond
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EIOPA: A Dutch view on stress tests
Agnes Joseph, Niels Kortleve, Sibylle Reichert, Peter Vlaar and Siert Vos examine the relevance of EIOPA’s stress testing regime and argue the case for alternative methods of determining a fund’s resilience
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Age spectre haunts Japan
Abenomics is faring in the battle to bring Japan’s ecomomy out of the doldrums to cope with a rapidly ageing population
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Brazil’s trapped potential
Brazil’s huge market and competitive global companies hold out promise for investors but its economic recovery is being fettered by a political impasse
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Make cash pay
Cash holders do not have to settle for low yields from traditional cash management vehicles. Enhanced cash vehicles offer higher yields
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Equity Earnings: Burning the furniture
Many companies with strong balance sheets are using that position to bolster weak income statements