Fixed Income – Page 36
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NewsAP1 invests $330m in global high yield via Nomura
Swedish national pensions buffer fund awards mandate after 2017 global tender process
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NewsBroker commission down by 20% as MiFID II bites [updated]
Unbundling rules have caused a cut in commission, survey finds, but rise of algorithms also affecting costs
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News
Mandate roundup: North Yorkshire appoints insurance bonds manager
Plus: London CIV first fixed income fund, custodian switch, member data service provision
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News
What a new Italian government means for markets
As Giuseppe Conte is sworn in as prime minister at the end of a turbulent week in Italy, asset managers have their say
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PGB ditches ‘disappointing’ inflation-linked bonds
Multi-sector scheme reports investment return of 6.7% for 2017
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Joseph Mariathasan: India is on the verge of success
There are more ways than just equities to access India’s growth story
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News
Germans trash EU’s proposal for pooled euro-zone bonds
Structure and risk pooling of “sovereign bond backed securities” criticised by investor association
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NewsBank analysts estimate $600bn of green bonds from Asia by 2023
Investor appetite and rising capital expenditure should spur issuance growth
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NewsLuxembourg reserve fund gains 3.9% as EM managers underperform
€16.5bn fund has implemented a revised investment strategy with seven new mandates awarded
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News
Compenswiss tenders $300m high yield mandate via IPE Quest
Swiss first-pillar fund manager wants manager with long track record for non-investment-grade bond allocation
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NewsSterling rebound dampens Church Commissioners’ 2017 return
Church of England’s investment portfolio gains 7.1% as managers warn of subdued earnings in near term
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NewsColumbia Threadneedle to transfer funds to Luxembourg ahead of Brexit
Asset manager to launch 13 new funds to accommodate switch, subject to approval from investors and regulators
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News
Spanish pension fund returns diverge amid troubled domestic markets
Basque Country’s Geroa Pentsioak gains 10% but Pensions Caixa 30 manages just 1.8% return
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Features
Asset Allocation: Uncertainties on the rise
While rates markets remain focused on inflation and growth data, risk appetites appear more affected by the international politics of trade, led by the US
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NewsGerman investor seeks global fixed income manager via IPE Quest
Core sovereign and corporate mandate will start with €30m but could grow to as much as €1bn
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Norway’s SWF lost almost €18bn in Q1 – but still beat its benchmark
Strategic 70% equities allocation means fluctuations mainly determined by global stock markets, says CEO
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Varma warns of trade war tensions; Ilmarinen hails merger success
Finland’s top pension insurers both posted losses in Q1 but alternative investments dampened effect of weak equities
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NewsKeva CEO warns against spiralling premature retirement costs
Finland’s biggest pension fund calls 0.4% Q1 investment loss “reasonable”
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News
Asian investor seeks sukuk bond manager via IPE Quest
Investor tenders for $20m mandate for Islamic bonds – deadline 10 May