Church of England’s investment portfolio gains 7.1% as managers warn of subdued earnings in near term
Public sector Pensionskassen APK and PKBS post 2017 investment returns in line with market average
Prudential Regulatory Authority says insurance companies need to understand the underlying risks of alternative debt assets
Strategic 70% equities allocation means fluctuations mainly determined by global stock markets, says CEO
Finland’s biggest pension fund calls 0.4% Q1 investment loss “reasonable”
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Words matter, but sometimes they can get in the way. Impact investing, mission-based investing, responsible investment, double and triple-bottom-line investing, ESG factors, and even sustainable investment. All of these terms can have both positive and negative connotations for investors.
“The potential impact of climate change on investments should be considered at least on an annual basis”
“CFA curriculum material should become more future-oriented and address awkward topics”
“The responsibility for making our profession more representative of the society we serve ultimately sits with all of us”
Pension systems everywhere are either struggling to manage the shift from defined benefit (DB) to defined contribution (DC) or contemplating the journey