All IPE articles in July / August 2016 (Magazine) – Page 3
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Features
Political Risk: Anxiety to the fore
Investors are facing not just challenging markets but also increased political risk. Daniel Ben-Ami asks how they can tackle such uncertainty
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Special Report
Interview: Keith Ambachtsheer
Liam Kennedy in conversation with Keith Ambachtsheer. His latest book, The Future of Pension Management, was published earlier this year
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Country Report
Pensions In Italy: New alternatives exist
Most Italian pension funds are new to alternative investment. However, the wind is changing, with several pension funds making the first significant allocations, writes Carlo Svaluto Moreolo
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Country Report
Pensions In Italy: An alternative approach
Despite shifting and ambiguous regulation, a growing number of pension funds are increasing diversification by making larger allocations to alternative asset classes, writes Silvio Bencini
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Special Report
Special Report Risk & Asset Allocation: Another dimension
Charlotte Moore examines how practitioners are looking to integrate risk factors in multi-asset portfolios that goes beyond traditional risk parity
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Features
Asset Allocation: The big picture
While geopolitics and plain vanilla politics have been exerting huge influences on markets as we head towards summer, the macro news has continued to range from lacklustre to disappointingly poor
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Special Report
Asset Allocation: Matters of perspective
There is still a role for risk parity strategies, finds Emma Cusworth, provided pension funds take a long-term view
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Country Report
Pensions In Italy: Auto enrolment all’italiana
A number of Italian pension funds have implemented automatic enrolment. Is this the answer to Italy’s low coverage problem? Carlo Svaluto Moreolo investigates
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Features
Ahead of the Curve: Fund managers must face fire too
Matthew Spencer argues that investment managers should feel the pain when they under-perform and not just share in the upside
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Features
Pensions Accounting: Appeal of a lesser evil
The International Accounting Standards Board has agreed to investigate a last-ditch attempt to address the challenge of hybrid-risk plans. Stephen Bouvier explores the issues
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Features
IPE Expectations Indicator July 2016
During the survey period, managers experienced a different environment than during the two prior months. The dollar reversed its weakening trend, and commodity prices diverged as oil prices rose, metals’ declined, and coming screaming to the forefront of geopolitical headlines was the Brexit vote.
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Features
How we run our money: AP2
Tomas Franzén, chief investment strategist of AP2, the second Swedish buffer fund, explains the fund’s approach to long-term investment
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