Latest Special Reports – Page 3
-
Special Report
Case study: Ilmarinen - Building a climate-focused future
Finland’s second-biggest pension provider is a keen investor in exchange-traded funds (ETFs), having allocated more than €6bn to a range of equity vehicles in recent years.
-
Special Report
Case study: MHPF - Searching for greater transparency
Transparency is one of the most important elements of exchange-traded funds (ETFs) for many investors. For some, however, there is always room for improvement.
-
Special Report
Case study: Caja de Ingenieros Gestion - The rise of smart beta
The Spanish pension provider Caja de Ingenieros Gestion serves more than 215,000 members, predominantly from the Spanish engineering sector, using an investment style based on independent analysis, with a bottom-up approach.
-
Special Report
Focus returns to fixed income ETFs
Fixed income is back, baby! In the seven months to the end of July 2023, flows into European-domiciled fixed income exchange-traded funds were €39bn compared with €14bn for the same period last year, according to Morningstar.
-
Special Report
Faith-based investing: how to build Shariah-compliant investment portfolios
Ethical investing can be a nuanced task, as aligning one’s investment principles with their beliefs can often be contradictory. On the one hand investors want to maximise their return and minimise their risk to ensure they benefit from the best possible investment outcome. However, on the other hand, they may want to ensure they don’t fund any enterprise which derives revenue from provision of ‘unethical’ goods or services.
-
Special Report
Bonds are back and aligned with a greener future
Bonds are back in vogue and, of the current fixed income opportunities available, we believe euro-denominated investment-grade credit offers one of the most compelling risk/reward profiles.
-
Special Report
Sustainable fixed income products gain ground
Institutional investor exposure to sustainable investment products has declined in recent months as macroeconomic developments have driven a shift back into fixed income products.
-
Special Report
Decarbonisation outcomes: preparing portfolios for a low-carbon world
The climate challenge is clear, and more investors are looking to include climate investing solutions in their portfolios. Next to funding climate solutions and enabling negative emissions, the decarbonisation of portfolios is one of the most important objectives for climate investing.
-
Special Report
Active ETFs power ahead
While active managers are out of favour, their strategies embedded in an exchange traded fund package are gaining traction. In fact, they are outpacing passive ETFs as investors look for liquidity and robust risk-adjusted returns with a relatively low price tag.
-
Special Report
The hidden power of an ESG approach to sector investing
Adding an ESG filter to a sector ETF could help investors mitigate risk and may increase returns – while improving ESG and carbon intensity scores.
-
Special Report
Global ETFs Industry in August 2023
At the end of August 2023, the Global ETF industry had 9,374 ETFs, with 19,378 listings, assets of US$10,359 Bn, from 671 providers on 79 exchanges in 63 countries. At the end of August 2023, the Global ETF/ETP industry had 10,967 ETFs/ETPs, with 22,593 listings, assets of US$10,595 Bn, from 707 providers on 81 exchanges in 63 countries.
-
Special Report
Asia Investment - Special Report
In this month’s special report on Asia, IPE’s private markets editor Lauren Mills analyses why global institutional investors are setting their sights on Asia. The combination of strong fundamentals and a lack of correlation with the European and North American economies make the region’s private assets particularly attractive. Investors are particularly hungry for infrastructure assets as well as the region’s fast-growing digital infrastructure.
-
Special Report
Top 1000 Pension Funds 2023: Europe’s pensions absorb a €646bn loss
Last year saw a net reduction in the asset stock of European pension investment retirement pools of 6.77% over the previous year, according to IPE’s annual study of the leading 1,000 pension funds across the continent, marking a sea change for pensions.
-
Special Report
How investors are positioned to capitalise in APAC private markets
Strong fundamentals and a lack of correlation with western markets make the region particularly attractive
-
Special Report
Investors take a cautious asset allocation path on Asia
Investing in the region is far from straightforward, with benchmarking particularly tricky
-
Special Report
Industry awaits final advice on IORP II review
Pension groups want EIOPA to consider how its sustainability-related proposals would interact with the SFDR
-
Special Report
India forms cornerstone of GIC’s BRIC portfolio
The Singaporean sovereign wealth fund has invested billions in the subcontinent since the 1990s and considers the country under-invested
-
Special Report
Austria: Pension industry faces an indifferent government
Reforms look likely to be on hold until after federal elections in 2024
-
Special Report
Sumitomo Mitsui Trust's Yoshio Hishida on Japan's unique position to attract investment
Yoshio Hishida, CEO of Sumitomo Mitsui Trust Asset Management, one of Japan’s largest investment managers, talks to Christopher Walker about his company’s focus on retail and attracting international capital