All articles by Carlo Svaluto Moreolo – Page 10
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News
Italy’s Covip expects drop in contributions due to pandemic response
Padula calls for stronger fiscal incentives in order to encourage workers to restart contributing after the crisis
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News
Global managers register largest yearly AUM increase in 2019
IPE’s Top 500 Asset Managers Report also highlights impact of Q1 2020 market crash on managed assets
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Interviews
How we run our money: PPF - Defending UK pensions
Barry Kenneth, CIO of the UK’s Pension Protection Fund (PPF), tells Carlo Svaluto Moreolo about managing the fund’s portfolio during the COVID-19 outbreak
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Opinion Pieces
Seize the possibilities of crisis
IPE’s 2020 Top 500 Asset Managers ranking shines a light on overall global managed assets in 2019, which increased by almost 22% in euro terms over the course of last year to €80trn.
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Interviews
On the record: APG - A rethink is needed
Thijs Knaap, senior strategist at APG, says the pandemic means that investment strategies need to be reconsidered
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Interviews
How we run our money: Pensioenfonds KBC
Luc Vanbriel, CIO of Pensioenfonds KBC, tells Carlo Svaluto Moreolo how the Brussels-based fund is coping with the current crisis
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Interviews
On the record: Dispatches from the pandemic
IPE asked European pension funds how the COVID-19 outbreak has changed their lives
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Opinion Pieces
Market disconnects have widened
Thanks to a remarkable comeback in April, equity markets have partly offset the collapse that took place as a result of the COVID-19 pandemic.
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Special Report
Factor investing: Crisis factor
What are the prospects for factor-based portfolios after the recent market crash?
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Special Report
Private and green: Non-listed sustainable debt
The market for non-listed debt with green or sustainability features is growing fast
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Features
Fixed Income & Credit: Credit at a crossroads
How will weak lending standards hurt credit investors in a global slowdown?
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Opinion Pieces
Letter from a country in crisis
Empty streets and squares are not a usual sight in Italy, a country whose people love to socialise. The deadly COVID-19 pandemic has even taught Italians to make orderly queues outside supermarkets. The reality is that while Italians are not good at prevention, they are outstanding at reacting to emergency situations, thanks to their experience dealing with earthquakes and other natural disasters.
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Interviews
On the record: Green bonds
IPE asked two Nordic pension funds how they invest in green bonds and to what extent sustainability is considered part of their fixed-income strategies
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Special Report
Strategically Speaking: HSBC Global Asset Management
As the financial markets enter uncharted territory, HSBC GAM could be well placed to take advantage of the dislocations in Asian and emerging markets. Its aim, though, is to offer investors the full spectrum of fixed-income solutions, says Xavier Baraton, global CIO for fixed-income private debt and alternatives.
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Interviews
How we run our money: AP2
Lars Lindblom (pictured), global fixed-income manager at the second Swedish buffer fund, talks to Carlo Svaluto Moreolo about the fund’s evolving green bond investment strategy
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Opinion Pieces
A belated but welcome debate
The belief that the corporate culture of an asset management organisation affects its performance is gaining ground. Some investment consultants make reference to corporate culture as a factor driving manager selection. This may be marketing, but it could spark debate.
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Special Report
Manager selection: When delivering value becomes law
The debate around the value added by asset managers is taking fundamental steps forward
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Interviews
On the record: Asset manager selection
IPE asked the Caisse de prévoyance de l’État de Genève (CPEG) how manager selection is changing
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Special Report
Regulation: Asset managers - Regulators set sights on liquidity
Concerns about systemic risk and fund liquidity are driving the regulatory agenda