All Fixed income articles – Page 9
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Opinion
Use of ETFs could increase further
From the blog: Historically, UK pensions have tended to not invest directly in exchange-traded funds. There are several reasons for this. Traditionally schemes have relied on intermediaries and tended to outsource most or even all investment functions.
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Features
British Coal derisks to support structural change
The British Coal Staff Superannuation Scheme has revised its asset allocation, which included selling equities and buying government bonds, following changes to the scheme’s structure.
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Opinion
Corporate schemes shore up portfolios with fixed income and LDI allocations
Data analysis: UK corporate defined benefit schemes upped their allocations to fixed income in the last quarter of 2015, data show, as trustees took the opportunity to hedge out further risk by increasing liability-driven investments.
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News
Net bond sales to institutions remain in the red
Data Analysis: Net retail sales of bonds have come back into the black, according to latest data from the Investment Association, but the asset class is still facing resistance from institutional investors such as pension funds.
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Opinion
How underpricing political risk could hit pension funds
Grexit and the Brexit are just two of the economic risks facing the UK's pension funds today, and their potential impact should not be discounted.
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News
GMPF-LPFA venture closes first infra deal amid 'frothy' market
FT European Infrastructure: Greater Manchester Pension Fund has made the first investment of its joint venture with the London Pensions Fund Authority, but said high demand for the UK infrastructure market makes finding deals challenging.
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Opinion
Private market investing – what schemes need to know
With funding deficits touching record highs earlier this year it is clear that pension funds need to do something differently to meet these challenges.
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Opinion
Tough markets force funds to act smarter
UK pension funds have been searching for ways to invest in traditional assets in non-traditional ways, moving further into the alternatives and multi-asset spaces.
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Opinion
What fixed income ETFs can bring to your portfolio
Investors in fixed income markets are having to deal with persistently low or even negative yields, the potential for increased volatility – such as recent worries about China – and a lack of clarity over when the US Federal Reserve will start raising rates.
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Features
Lancashire drops bonds in favour of equity, credit and infrastructure
While everyone acknowledges the incredibly high price of gilts in the current environment, which is wreaking havoc with pension scheme funding levels, few have taken the controversial move of getting rid of their allocation to bonds altogether.
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News
Church of England targets US private loans in bid to divine 7% returns
The Church of England Pensions Board is “on the cusp” of making an allocation to private credit in the USA, as it seeks returns uncorrelated to equities.
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Opinion
Low yields are here to stay... so what happens to pensions?
From the blog: Growing evidence suggests the long-term trend for real and nominal growth may be well below that of recent decades.
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News
TfL tunnels further into alternative credit
Transport for London pension scheme has moved further into alternative credit investments including mezzanine debt, as it seeks to diversify its fixed income portfolio.
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Features
The Specialist: DC investment
The latest issue of The Specialist takes a timely look at the defined contribution investment landscape, including default fund changes, the charge cap, at-retirement options and fixed income.
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News
Should your scheme be seeking growth via income?
Schemes should increase their focus on income in the search for returns, experts have said, but some have raised doubts about the opportunities currently available in the credit sector.
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Opinion
How a smart blend of alpha and beta can maximise returns
Pension fund managers should always look for the best value in their investments.
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Opinion
How DB and DC funds can outsmart prolonged low yields
With the UK general election decided in favour of the Conservatives, market attention may return to the prospective path for economic growth, inflation and interest rates.
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Opinion
Trendwatch: How schemes are rebalancing towards alternatives
Blog: There are growing signs pension schemes are on the verge of a significant shift in their investment approaches, with ramifications beyond the current period.
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Opinion
How to build your multi-asset credit portfolio
Multi-asset credit is a diversified strategy that aims to capture credit risk premium on a global basis, using the entire credit quality spectrum to secure superior yield to a government, local or investment grade-only strategy.
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Opinion
Do schemes fully understand their fixed income risks?
Aon Hewitt's Tim Giles, Hymans Robertson's Carl Hitchman, Law Debenture's David Felder, M&G Investments' William Nicoll and the Pension Protection Fund's John St Hill discuss the different types of fixed income risk in the second of this three-part panel discussion.