- Investors are turning to concentrated equity strategies, despite ample evidence that broad diversification offers better risk-adjusted returns over the long term
Leadership changes continue at Switzerland’s social security office as AHV forecasting errors prompt reform and renewed pension scrutiny
The 115-page consultation document acknowledges that sustainability reporting beyond climate change will be new to many of the companies regulated by the FCA
The Deforestation Investor Group is underpinned by new guidance on integrating deforestation into net-zero strategies
The institutional investment market needs to consistently evidence its beliefs about culture, argues Bev Shah, co-CEO at City Hive
Plus: Pension funds divest from US assets; PME withdraws €5bn mandate from BlackRock
Funding ratios rose, however, thanks to rising interest rates
Sweden’s capital market success offers the EU a practical model for building inclusive, resilient markets
Manuel Coeslier, head of Mirova Research Center, makes the case for a framework that allows investors to assess a broader spectrum of corporate climate action
The European Commission’s IORP II reform proposal structurally reinforces individual pensions and is at odds with the successful social partner-led Rhineland model
Leadership changes continue at Switzerland’s social security office as AHV forecasting errors prompt reform and renewed pension scrutiny
The Net-Zero Financial Service Providers Alliance, meanwhile, has announced it is shutting down
Plus: bfinance appoints DACH senior director; Barnett Waddingham names head of pensions governance
The institutional investment market needs to consistently evidence its beliefs about culture, argues Bev Shah, co-CEO at City Hive
Plus: Pension funds divest from US assets; PME withdraws €5bn mandate from BlackRock
Swiss pension funds boost gold allocations, seeking protection from geopolitical shocks, market volatility and fading trust in US assets
Swiss pension funds turn to small caps and equal-weighting to rein in growing global equity concentration risks
Civil service scheme ABP, the only Dutch pension fund with a sizeable exposure to US treasuries, reduced its allocation by €10bn in 2025
CIO Arne Vagn Olsen explains to Rachel Fixsen how Iceland’s second-largest pension fund has fundamentally changed how it operates
Lyes Arezki, investment manager for private markets at France’s UMR, sets out the pension provider’s approach to portfolio construction and private markets
The pension fund for Italian utility workers taps into private market expertise to broaden its investment horizons and boost returns
Thijs Knaap, APG Asset Management’s chief economist, discusses political risk and how it could affect institutional portfolios
Jesper Nørgaard, deputy CIO at Sampension, discusses whether it is prudent to maintain a large exposure to the US or re-allocate to European equities
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Digital edition of IPE magazine
The oil and gas (O&G) majors seem perfectly positioned to lead the energy transition but why are they struggling to do so?
Over the past 30 years, pension funds have accumulated trillions in pension assets by investing in high-performing global portfolios. Key to their success has been the ability to invest free from government pressures.
Clearstream Fund Services is poised to capitalise on the democratisation of private markets, as Philippe Seyll tells Joseph Mariathasan
Lyes Arezki, investment manager for private markets at France’s UMR, sets out the pension provider’s approach to portfolio construction and private markets
Thijs Knaap, APG Asset Management’s chief economist, discusses political risk and how it could affect institutional portfolios
The pessimism around equities prevailing last summer has evaporated
Markets remain relatively unfazed by recent geopolitical events, thanks to the loose financial conditions globally