IPE's Nordic Region Coverage – Page 142
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NewsDanica boosts flexibility in key product by taking funds onto own books
Denmark’s second-largest commercial pensions firm seeks to compete on returns
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European returns: Strong ATP performance bucks downward trend
Danish fund betters 2014 results with standout 17.2%
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Sampension builds portfolio to profit from higher European inflation
Danish pensions provider cashes in on current low prices for linkers, swaps
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Nordea to fill one-third of fixed income portfolio with high yield
Danish arm of pensions division sells emerging markets paper to fund speculative-grade buying
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Norwegian oil fund divests 73 companies on environmental risk grounds
Majority of firms sold in 2015 due to high carbon footprint
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NewsATP puts domestic stock success down to patient, long-term strategy
Danish pension fund to continue selling local equities to rebalance
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ATP sets sights on alternative risk premia with new long-term guidelines
Risk-factor allocation model weights equity, interest-rate factors at 35% each
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ATP's Danish equity holdings return nearly 50% over 2015
Liabilities swing wildly during year before normalising at end December
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Danica Pension sees strong Swedish business growth in 2015
Investment returns recover in second half
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Industriens hails role of active management in 2015 results
Equities, unlisted investments boost total return at Danish labour-market scheme
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Danish roundup: Pharmaconomists, JØP, DIP
Pension fund for pharmaconomists reports ‘modest’ return for 2015
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Keva names new managing director, returns 4.8% in 2015
Appointment of new managing director brings to an end nearly three-year instability of management at fund
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NewsDenmark to draft scheme inspired by UK’s Stewardship Code
Recommendations by corporate governance committee for active ownership to be aimed at pension funds, insurers
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NewsVER returns 4.9% in 2015 as private equity shines
Asset growth limited by €500m one-off contribution to national budget and low return from fixed income portfolio
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Companies most likely to engage with Norwegian oil fund – survey
BNY Mellon finds that more than 40% of firms engage with Norges Bank Investment Management
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NewsWeaker euro boosts equity returns at Finland's Elo
Pensions mutual sees portfolio return 5% despite losses from fixed income holdings
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Asset management roundup: Nordea, Lyxor AM, Legg Mason, Clarion
Nordea Asset Management joins Corporate Human Rights Benchmark
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Friday people roundup
HSBC Global Asset Management, BNY Mellon Investment Management, Ilmarinen, Financial Stability Board, Aviva Investors, Cushman & Wakefield, Axioma, S&P, Macquarie, DTZ Investors
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Norwegian unions, companies propose individual accounts for pensions
Finans Norge calls plan ‘interesting and exciting’





