All IPE articles in March 2016 (Online) – Page 5
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FRR suspends equity manager search to work 'flat-out' on illiquids
Implementing new €2bn illiquids allocation the focus for 2016
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PLSA taskforce to tackle ‘Gordian Knot’ facing DB pension funds
Possible solutions ‘may be radical’, says PLSA chief executive
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Emerging-market losses at Norwegian oil fund offset by real estate
Returns of 10% from real estate see asset class outperform equities and fixed income for second year running
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Dutch roundup: Achmea, Huntsman, Vopak
Inflation compensation in part drawn on financial position schemes
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Negative rates here to stay despite strain on pensions – study
Negative nominal rates can drive pensions insolvency but still have positive future, says Barclays
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UK pension funds should copy ‘tried and tested’ Dutch model
Calls for UK to copy Dutch approach to cost transparency follows report by Financial Services Consumer Panel
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Wednesday people roundup [updated]
Russell Investments, BlackRock, EIOPA, PGGM, AXA IM-Real Assets, Topdanmark, PFA, Trondheim, Bouwinvest, Blue Sky, Aquila Capital, Bank of America Merrill Lynch, PLSA, Sackers, Vontobel, RobecoSAM
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Strathclyde awards £750m in mandates with 'enhanced yield' strategy
Pension fund to double allocation to short-term enhanced yield strategies
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MetallRente’s Karch dismisses plan for German state-backed pension
‘Deutschland-Rente’ an unwelcome distraction, says aba chairman
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EC mulls whether to continue developing personal pension product
European Commission to launch consultation on PEPP this year
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ING, NNIP pension funds make first foray into rented housing
Asset class a better match for liabilities, schemes say
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APG, PGGM warn of bank regulation's impact on pension clearing
Letter calls on European executive to tackle ‘significant’ pressure on repo markets
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UK’s Pensions Trust signs up for private debt investments
Occupational pension fund makes first allocation to illiquid asset class
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Swedish regulator urges pension sector to stress test climate risks
Finansinspektionen builds on recommendation by European Systemic Risk Board for sector to monitor climate risk
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De-risking market set for growth despite Solvency II ‘bottleneck’ – WTW
Affordability, innovation set to meet continued de-risking interest among pension schemes
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Croatian second-pillar pension funds report strong results
High yields on domestic government bonds contribute to performance
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Jeremy Woolfe: Brexit and the ‘cuppa’
Jeremy Woolfe laments the EU economy’s being distracted by a humdrum cup of tea
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Greater Manchester hires managers for £750m credit framework
Fund appoints three managers outside current suite of six external managers to framework
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FRR credits equities for 3% return during 'volatile' 2015
Gains in return-seeking portfolio offset by 0.1% return from liability-matching portfolio