All IPE articles in October 2014 (Magazine)

Articles from the October 2014 edition of IPE magazine
  • Country Report

    Pensions Caixa 30 to move from Spanish bonds to illiquid assets

    October 2014 (Magazine)

    Evolution not revolution is the name of the game for Pensions Caixa 30, Spain’s largest pension fund with €4bn assets under management, a further €1.59bn in insurance policies and almost 44,000 members at present.

  • Interviews

    Three years of the 300

    October 2014 (Magazine)

    Liam Kennedy spoke to Alan Brown and Saker Nusseibeh, two architects of the 300 Club of investment professionals who seek to challenge mainstream investment practice

  • european high yield versus us high yield
    Asset Class Reports

    High-yield Bonds & Loans: Revolution from above and below

    October 2014 (Magazine)

    Few markets outside the emerging world have changed to the extent that European high-yield has over recent years. Joseph Mariathasan and Martin Steward find transformation coming from the massive to the micro, from above and below

  • Asset Class Reports

    High-yield Bonds & Loans: Low yields, high alpha

    October 2014 (Magazine)

    With spreads so tight, high-yield has become even more of a bottom-up stockpickers’ market than usual. Martin Steward looks for themes in the top-performing portfolios

  • Asset Class Reports

    High-yield Bonds & Loans: Floored argument

    October 2014 (Magazine)

    More and more loans are being written with interest rate floors, at lower and lower rates. While these were a great feature over the past five years, Charlotte Moore asks whether they weaken investors’ floating-rate protection for the next five years

  • Asset Class Reports

    Time for some caution with this asset class

    October 2014 (Magazine)

    How do you invest in high-yield bonds and loans?

  • Special Report

    German Asset Management: The devil’s in the details

    October 2014 (Magazine)

    Barbara Ottawa looks at the impact of legislative and regulatory changes on the German asset management industry

  • Special Report

    German Asset Management: Willing but mostly unable

    October 2014 (Magazine)

    Low yields mean German institutions continue to look at infrastructure. But the opportunities they find are mostly unattractive, says Barbara Ottawa

  • Special Report

    German Asset Management: Robust in spite of regulatory change

    October 2014 (Magazine)

    Institutional investors have maintained their confidence in Spezialfonds through the regulatory changes of the past few years and providers can look forward to a good 2015, according to Till Entzian

  • Special Report

    Real Assets: Material changes

    October 2014 (Magazine)

    Is there is a tension at the heart of this month’s special report? On the one hand, we write about markets undergoing significant change. On the other, we deal with issues arising from the pursuit of dependable, boring, long-term cash flows from real assets.

  • Special Report

    Real Assets: Let's roll

    October 2014 (Magazine)

    Backwardation is back in commodity futures curves. Martin Steward asks, can investors at last expect to be paid for taking risk in the asset class, or is it a flash in the pan?

  • Special Report

    Real Assets: Digging a way out of the hole

    October 2014 (Magazine)

    The misery index reached a new low in Australia this summer as the mining slump continued to bite. But, as Christopher O’Dea reports, a new round of investment is looming as leading emerging-market producers target a bigger share of revenue from their mineral resources and mining companies cut unprofitable projects

  • Special Report

    Real Assets: Generating returns

    October 2014 (Magazine)

    Energy and power in Europe is subject to long-term plans to improve the single market, but also buffeted by the short-term vicissitudes of politics, geopolitics and even natural disaster. Daniel Ben-Ami attempts to clarify the investment themes

  • Special Report

    Real Assets: Real challenges

    October 2014 (Magazine)

    Frances Hudson outlines just how many obstacles lie between pension funds and investment in European real assets, and calls for further debt and securitisation to open up the market

  • Special Report

    Real Assets: The sting in the loan tail

    October 2014 (Magazine)

    Frédéric Blanc-Brude and Majid Hasan present a rigorous – yet implementable – framework for measuring the performance of private infrastructure debt

  • Special Report

    Real Assets: Learning from the crisis

    October 2014 (Magazine)

    European commercial real estate debt is a compelling investment opportunity. But Gareck Wilson warns that new entrants must consider the lessons learned during the recentdownturn, as they provide a valuable insight into the potential pitfalls

  • Features

    No rush for auto enrolment

    October 2014 (Magazine)

    As part of their commitment to turn around their economies, Spain and Portugal have tackled pension issues, both by reducing expenditure and by taking the first steps towards making retirement systems fairer and more efficient.

  • Features

    Avoiding the trap

    October 2014 (Magazine)

    The decision by the IFRS interpretations committee to re-examine its asset-ceiling guidance should serve to focus minds once again on how defined-benefit plan sponsors can address the danger of a trapped surplus. Stephen Bouvier explores the issues with two experts from Aon Hewitt’s UK practices

  • Features

    The UK regulator has got its teeth back

    October 2014 (Magazine)

    Champagne corks were popping back in August near the UK’s south coast when Brighton-based UK Pensions Regulator (TPR) ended a six-year legal battle with the insolvent Lehman Brothers.

  • Features

    We’ve been here before

    October 2014 (Magazine)

    It looks like the International Accounting Standards Board has IAS19 in its sights once more, reports Stephen Bouvier