All IPE articles in June 2017 (Magazine) – Page 3
-
Features
Interview: Andrew Lo, MIT Sloan School
When President Harry Truman asked to be sent a one-handed economist, he aptly summarised the conundrum that Andrew Lo sets out to resolve in his book, Adaptive Markets.
-
Interviews
On the Record: How do you approach alternative credit?
Three pension funds - AP2, Linde and Unilever - talk about their approach to alternative credit
-
Special Report
Alternative credit: Handle with care
Pension funds are becoming increasingly active in the broad alternative credit sector, especially in private debt
-
Country Report
Finland asset allocation: Views from Helsinki
Three major Finnish pension investors in focus
-
Country Report
Asset allocation roundup: Busy in alternatives
Recent investment activity of large Nordic institutional investors
-
Features
Asset allocation: Cautious optimism on Europe
Focus on central banks as they edge towards rate rises; June Fed hike is priced in
-
Features
Corporate transactions: Is compulsory clearance ahead?
Increased regulatory powers over UK corporate transactions could harm sponsors; The regulator would need enhanced powers to process applications efficiently
-
Country Report
Norway: Ahead of its time
Norway’s local government fund makes extensive use of ESG strategies
-
Features
Ahead of the Curve: Who’s afraid of a sideways market?
The global economy could continue to surprise on the upside but the impact on the medium-term path of equity prices would be weaker
-
Features
Absolute returns: How to assess unconstrained portfolios
A look at some of the variations of absolute return strategies
-
Features
Painting a pension picture: ABP to offer visual insight into benefits
The €389bn Dutch civil service scheme ABP is to offer participants a visual insight into the pension rights they have accrued under its defined benefit arrangements.
-
Special Report
Top 400: Digitising the renaissance
Data is transforming asset management. Are humans a weak link or an indispensable component?
-
Special Report
Top 400: Business models - No turning back
Familiar set-ups in asset management are becoming obsolete in the face of Darwinian forces
-
Special Report
Top 400: Active and passive - An ongoing debate
Can markets offer investors better price discovery for a lower spread?
-
Special Report
Top 400: Market forces - Coming together
Pension funds are consolidating. What are the consequences for investment managers?
-
Special Report
Top 400: Brexit - What lies ahead
Asset managers must put client interests first as Brexit negotiations draw near
-
Special Report
Top 400: Front office - New frontiers
Productivity is now a concept in the front office
-
Special Report
Top 400: Diversity - The Buy-Side Club
Is recruitment the answer to diversity in asset management?
-
Special Report
Top 400 Asset Managers 2017: A new, improved business?
The cosy old world of asset management seems already seems like a different era. One day, CEOs will probably tell their grandchildren about the bygone days of fat margins, soft dollars and dubious intermediary arrangements
- Previous Page
- Page1
- Page2
- Page3
- Page4
- Next Page