Pension Fund Strategy – Page 125
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NewsEtera investment return falls to 3.7% in 2015, solvency dips
Finnish pensions insurer cuts costs, boosts client bonuses
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Irish Strategic Investment Fund provides loans to milk suppliers
New type of loan product to ease repayments when milk prices drop
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NewsPLSA taskforce to tackle ‘Gordian Knot’ facing DB pension funds
Possible solutions ‘may be radical’, says PLSA chief executive
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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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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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PensionDanmark warns of waning returns after return drops to 5%
Last year’s DKK7bn investment return seen as fair given market turbulence
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Belgium expects to attract €5bn in Dutch cross-border pension assets
FSMA expects several multinational companies to make ‘firm decisions’ this year
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NewsUK pension fund hedging activity 'significant' in Q4 – LDI survey
BMO Global AM survey shows interest rate hedging at second highest since 2009
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PFA calls lower 2015 returns 'solid', with property producing 12.6%
Danish commercial pensions leader sees profit dive on insurance loss, write-down
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HBS 'neither useful nor suitable', PensionsEurope tells EIOPA
Association responds to end-January stress test results
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NewsPKA generates 15.7% return on catastrophe bonds
Danish pension fund’s 2015 return shrinks to 1.7% but beats benchmark
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Joseph Mariathasan: The Cold War and emerging markets
Long-term investors cannot ignore the emerging markets despite their near-term problems, writes Joseph Mariathasan
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NewsAP2 returns 4% despite losses on emerging market equities
Performance of active management ‘gratifying’, says CEO
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Oslo Pensjonsforsikring return slips to 5.1% on weak equities
Norwegian pension fund says strong solvency means it can stick to investment strategy
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Swiss BVK members threaten to drop scheme due to rate changes
University of Zurich explores option of changing pension fund
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Pension funds step up hedge fund allocations as consultant use spreads
One in two investors to boost alternatives weighting this year, survey shows
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Law firm Jones Day prepares for emerging market debt defaults
Firm to analyse legal issues arising from upcoming defaults
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Fiona Reynolds: Looking at ESG is practical not political
Fiona Reynolds, managing director at Principles for Responsible Investment, responds to recent ‘Keep politics out of pensions’ article by Daniel Ben-Ami
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UK roundup: Marks & Spencer, PPF, L&G
Return-seeking assets help Marks & Spencer replace DB deficit with £204m surplus





