All IPE articles in May/June 2025 (Magazine)
View all stories from this issue.
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Country ReportUK country report 2025: Defined benefit pension schemes face surplus unlock dilemma
Defined benefit pension schemes could face some tough decisions on how to deal with surpluses if planned legislative changes to ease access come into effect
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FeaturesIPE Quest Expectations Indicator - May 2025: US markets lose their wings
Markets have been gyrating wildly with Trump’s on-again-off-again trade wars, but resistance is building
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FeaturesIPE Quest Expectations Indicator - June 2025
At last, we have some clarity about the nature of ‘Trump risk’ – it is about uncertainty and growth. Markets are signalling that the US president’s on-again-off-again policies are a threat to growth and stoking inflation even if his threats are not implemented.
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ResearchIPE institutional market survey: Small and mid cap equities managers 2025
The total assets invested in small and mid-cap equities by global managers increased by more than 13% last year, while the assets invested on behalf of European institutional investors fell by nearly 8%.
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ResearchIPE institutional market survey: Managers of UK institutional assets 2025
At the end of last year, global managers held €3.9trn of assets on behalf of UK institutional investors, in line with 2023. AUM growth was flat also for UK pension fund clients.
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Opinion PiecesHopes high blended finance can help achieve Sustainable Development Goals
According to the UN, the shortfalls in the financing needed to achieve the Sustainable Development Goals (SDGs) are large and growing, particularly for developing countries, ranging from $2.5trn to $4trn annually.
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Special ReportBlended finance could help achieve sustainable development goals despite Trump
New approaches will be needed to encourage asset managers and institutional investors to participate in blended finance
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FeaturesChart watch: Uncertainty ripples across markets
The trade war unleashed by Trump’s tariffs and the knock-on effects for business confidence and commodities demand are reflected in our latest chart overview
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Opinion PiecesThe ‘active versus passive’ investment debate should be over
Perhaps there should never have been a debate about whether stock picking is appropriate for institutional portfolios.
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FeaturesThe scarce commodity of active management skill
Active management skill remains elusive but it can be identified by means of effective analytics, with common attributes such as trading skill and concentrated portfolios
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FeaturesHow seven European pension funds view active management
IPE asked leading European pension funds for their views on active management, with turmoil in the equity markets and continuing geopolitical uncertainty around the world
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Special ReportIndia powers ahead with further investments in renewable energy
With an ambitious target to hit net zero by 2070, Delhi is boosting its investments in green energy strategies, such as renewable energy, battery storage, power grids and electric vehicles
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Special ReportImpact investing evolves amid strong demand
Private credit is attracting the attention of investors with impact objectives, while strategies in public equities have a clearer framework to lean on
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FeaturesReforms boost appeal of Japanese equities despite trade challenges
It has been a long time coming but Japan’s corporate governance reforms are finally winding their way through the system, giving investors new-found confidence in its equity markets.
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Opinion PiecesBeyond the ESG backlash – what next for European asset owners?
The US asset management landscape is rapidly transforming, with a re-evaluation of investment priorities shaped by political pressure and regulatory change. For European asset owners this brings both uncertainty and a rare opportunity to achieve strategic clarity, provided they are willing to look beyond the short-term chaos.
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Opinion PiecesGet dirt rich to save the earth: Soil as an asset class
Nature can provide almost 40% of greenhouse gas reductions needed by 2030, according to research published in 2017 by the Nature Conservancy.
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Opinion PiecesAustralian super funds split on US exposure post Trump tariffs
Just weeks after Australian super funds visited the United States to pitch investments worth hundreds of billions of dollars, US president Donald Trump delivered a body blow with his ‘Liberation Day’ tariff plan.
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Opinion PiecesDomestic investment bias is back: sow’s ear or silk purse?
Pension funds now have a very large dollop of geopolitical risk to contend with at a time when many are under some degree of pressure, overt or otherwise, to invest more domestically.
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Special ReportIndia could benefit from global trade disruption
As other nations reel from the ongoing trade tariff uncertainty, Delhi appears relatively insulated from the direct impact of US levies compared with its more export-reliant Asian peers
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Special ReportReforms needed for European push towards blended finance
European supranational institutions have been among the driving forces behind blended finance, but scaling up the involvement of the continent’s risk-averse institutional investors remains challenging




