All IPE articles in March 2021 (Magazine) – Page 2
-
FeaturesChina: Caught in the crossfire
The investment world is at risk of being caught in the midst of a ‘geoeconomic’ conflict between the world’s main economic blocs
-
Country ReportCoverage ratio: Pensions facing contribution hikes
Funding pressures are forcing many pension schemes to increase their contribution levels
-
FeaturesHedge funds: Coping with low interest rates
Historical analysis suggests portfolios of certain quant hedge fund strategies may offset some of the risk of rising interest rates
-
Opinion PiecesGuest Viewpoint: Kerrie Waring, International Corporate Governance Network
This year, ICGN’s flagship Global Governance Principles will be revised as part of a three-year review. This year’s revision is set within a world facing systemic challenges: a global pandemic and climate change
-
Opinion PiecesLetter from US: COVID and racial justice to the fore
The 2021 proxy season’s hot issues are human capital management related to COVID-19 and social justice. Several large US public pension funds are at the forefront of these campaigns together with non-profit shareholder advocacy organisations like the Interfaith Center on Corporate Responsibility (ICCR) and As You Sow, a non-profit foundation that promotes corporate accountability.
-
Opinion PiecesCulture wars pose the greatest dangers
What areas within the increasingly bitter conflict between China and the West are most likely to hit asset owners?
-
FeaturesFixed Income, Rates, Currencies: Priming the pump
Although COVID-19 infection rates are falling across many regions, the ‘success’ is more a reflection of lockdown restrictions keeping opportunities for virus spread low.
-
Features
Rising interest in EM debt
The weak dollar and low US interest rates are pushing governments and companies in emerging markets (EMs) to issue growing volumes of dollar-denominated debt.
-
Special ReportUK de-risking: More fuel for the risk-transfer train
As the UK leaves the EU, insurers and pension funds are watching potential changes to solvency rules and investment restrictions
-
Special ReportNon-Financial Reporting Directive: ESG reporting upgrade
The EU has responded to calls for improved environmental-impact reporting standards
-
Opinion Pieces‘Whatever it takes’ may not be enough
Italy has another new government; the 67th since 1946. An argument over the management of EU COVID-19 recovery funds led to the appointment of Mario Draghi, the former president of the European Central Bank (ECB), as prime minister. He is after all credited with saving the euro-zone by pledging to do “whatever it takes” during the 2012 debt crisis.
-
Country Report
What’s on the fiduciary landscape
The popularity of all-inclusive fiduciary management deals is likely to continue
-
FeaturesPerspective: Pooled investors gain a vote
A disruptive new service allows institutional investors in pooled funds to express their stewardship preferences. Will others follow suit?
-
Special ReportUK green Gilts: UK joins the green party
A late-comer to green bond issuance, the UK plans to issue its first green Gilt this year
-
InterviewsHow we run our money: Pensionskasse Manor
Martin Roth (pictured), CEO of Pensionskasse Manor, talks to Carlo Svaluto Moreolo about the fund’s diversification strategy and long track record in alternatives
-
InterviewsOn the Record: Securities lending
We asked two European pension investors how they reconcile their securities lending and short-selling activities with their responsible-investment policies
- Previous Page
- Page1
- Page2
- Next Page




