All IPE articles in May 2021 (Magazine) – Page 3
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Opinion PiecesStrategy reset during a pandemic
Just over six months into the job, Nicolai Tangen, who took over as CEO of Norges Bank Investment Management (NBIM) last September from Yngve Slyngstad, has already revised the asset manager’s strategy plan for this year and next.
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Opinion PiecesEmerging markets require a rethink
A rethink of the term ‘emerging markets’ is long overdue. It has always been a catch-all category but the gap between the description and reality is becoming over-stretched.
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Special ReportSocial enterprises: Social return guaranteed
The European Social Innovation and Impact Fund is a pioneer in social enterprise finance
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Asset Class ReportsPortfolio strategy – Factor investing report
COVID-19 has added a further blow to a decade of factor investing underperformance and highlighted the increasing impact of environmental, social and governance (ESG) considerations. In this report, we analyse how it may be possible to complement traditional factors with ESG-related measures.
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InterviewsInterviews: Technology - the way forward
Pension funds and consultancies face multiple challenges in harnessing rapidly developing technology to meet their needs
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InterviewsOn the record: The inflation question
IPE asked three pension funds about their outlook for inflation and how they would seek to adapt their fixed-income strategies to a new rates environment
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Special ReportInterview: Pavan Sukhdev
Pavan Sukhdev, CEO of GIST Advisory, describes his firm as being at the “intersection” of technology and sustainability.
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Country ReportRisk Management: LDI strategy at a time of pandemic
Wild swings in UK bond yields caused by COVID have triggered a surge in hedging activity
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Features
Reporting: Yours sustainably…
You know how one thing can lead to another? Well, that is what happened with the International Financial Reporting Standards Foundation’s steps into sustainability reporting.
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