Pension Fund Strategy – Page 88
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NewsDutch metal schemes show concern over MN’s new admin system
Despite a successful test in October, no new functionality has become operational yet
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NewsCERN pension fund seeks new professional board members
Adrian Cunningham and John Breckenridge are serving their last three-year term
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NewsPFZW: Return prospects of private markets outweigh costs
The scheme has reduced its asset management costs by 10% in the past 10 years
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NewsPGGM and Alecta to enter ‘unique’ collaboration on CRS
PGGM is to purchase 70% of each co-investment transaction, while Alecta is to participate for the remaining part
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NewsABP warns of ‘significant’ contribution rise in coming years
It has already decided to reduce its discount rate for future expenses from the current 2.8% to 2% as of 2023
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Achmea scheme to exclude 10% of worst performing equity holdings
‘The measure will increase the risk-return ratio of our investments’
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NewsBring forward climate investments, Danish pension chiefs urge
Pension funds ready for large investments that can help economy, say Mortensen and Polack
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AnalysisPerspective: Four difficult questions facing pension fund investors
The fallout from the COVID-19 pandemic poses many difficult questions for investors. Pension funds will probably have to reconsider many long-standing assumptions. These are some of the most intractable.
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FeaturesBriefing: Long-term investing: it’s up to the pension board
A practical framework for pension fund trustees looking to implement long-term investment approaches
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AnalysisPerspective: COVID-19: Funds seek solace in the long term
COVID-19 is forcing European pension funds to put on a brave face as asset portfolios and funding ratios plummet, and regulators soften their stances.
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LGPS duo pre-declares Barclays climate resolutions voting intention
Brunel, Merseyside move aimed to encourage other asset owner support for both resolutions
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UK roundup: Scheme for aerospace group in £160m buy-in
Plus: Sanlam selects PTL to oversee investment pathways
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Singapore’s GIC creates private asset investing framework with PGIM
‘Liquidity risk one of the most critical, but least quantified risk dimensions in portfolio construction’
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UK local authority pool seeks specialist China equity manager
Border to Coast has a £200m-£300m mandate to award
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Australia’s Future Fund makes a A$5.7bn Q1 loss
The fund prioritised reducing its exposure to illiquid assets
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Increased credit allocation could improve schemes’ liquidity, says AXA IM
Expect equity to remain volatile with a ’significant risk of a second leg down’
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Japanese government fund preps move into bonds, EM infra
Considering a fund-of-funds manager as part of its global infrastructure strategy
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AP3 adds new top-down ‘CIO Office’ group to restyled organisation
Swedish buffer fund appoints heads of three new teams – equity, fixed-income & currency and alternative investments
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NewsESAs open consultation on draft investor ESG disclosure rules
Separate process may be launched on mandatory pre-contractual disclosure template
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APG: Dutch pension fund giants seek co-operation on admin
ABP, BpfBouw, PMT, PME and PFZW are looking for joint effort to cut costs





