Asset Allocation – Page 5
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News
BASF Pensionskasse amasses €4.6bn in new fund of funds
The scheme has seen an increase in its allocation to European bonds and global bonds, offset by a decline in emerging market bonds
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News
German church scheme shifts strategy towards bonds in developed countries
As a result, equity investments were cut, particularly European stocks
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France’s FRR ramps up equities as investment horizon extended
Pension reserve fund estimates a median €1.8bn in extra value creation by 2033
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Changing macro environments lead to asset allocation shift for SWFs
SWFs are actively reassessing their asset allocation strategies, seeking to reduce their exposure to duration risk, says Invesco report
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Bonus Pensionskasse cuts European and EM equities to boost returns
The scheme’s performance benefitted from reshuffling regional equity allocations, with a more robust weight to global equities
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Evonik’s Pensionskasse revamps fixed-income portfolio
For the move, the pension fund held back on real estate and infrastructure investments
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RWE Pensionsfonds strengthens cash flow investment strategies
The scheme has fine-tuned its strategic asset allocation after conducting ALM studies
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NGOs announce ‘independent, science-backed’ taxonomy to raise EU game
New platform ‘not intended as critique of EU taxonomy’
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Previndai picks Mercer to review sub-funds’ strategies
The scheme could also consider setting up a new sub-fund, investing with a cautious approach, and a life-cycle option
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Inarcassa reshuffles global government bond portfolio
The scheme invests €2bn in government bonds, mainly in Italian fixed income
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SOKA-BAU to kick off private debt investment programme
The strategic investment target is worth 5% of the total assets of ZVK and ULAK, the two funds under SOKA-BAU’s management
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Monte dei Paschi scheme to make further investment in private markets
The pension fund has issued a tender for infrastructure, private debt and private equity
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News
SDR enthusiasm is waning among managers, according to Morningstar
Managers are taking a ‘wait and see’ approach in adopting the SDR label due to stringent criteria of regime as well as UK-centric nature of labelling criteria
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News
Investor bodies urge new UK PM to ‘seize opportunities’ of net-zero transition
The IIGCC, UKSIF and the PRI wrote to UK prime minister Keir Starmer asking for renewed policy focus to boost competitiveness and decarbonise the real economy
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News
CERN pension fund posts negative returns while other schemes rebound
Swiss pension funds achieved average net returns of 5.1% in 2023, according to Swisscanto
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News
Bayer Pensionskasse invests €950m in fixed income
The scheme pushed for investments in interest-bearing registered securities to keep the weight of the asset class stable in the long term
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News
KENFO overshoots target return as it continues illiquids expansion
The pension posted a return of 11.1% in 2023, the highest annual return to date, compared with -12.2% in 2022, and against a target return of 4.2%
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News
Swiss scheme expands credit investment to banks and infrastructure companies
LUPK’s funding ratio rose by 3.8 percentage points year-on-year, from 105.9% in 2022 to 109.7% in 2023
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News
Intesa Sanpaolo DB fund picks managers for equities, bonds
Several mandates were re-tendered, with Eurizon Capital picked for bonds, Schroders for global equity, Azimut for European equity, and Pictet for US equity.
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Country Report
ENPAM looks to preserve cash flow
In February 2024, the board of ENPAM, the first-pillar pension fund for doctors and dentists, approved plans for the fund to transition to an asset liability management (ALM) model that will focus on liability-driven investment (LDI).