Jacques Gordon examines why commercial property looks like a good investment in the face of a multi-speed recovery
Steve Lee, executive director at UBS Global Asset Management, discusses the pros and cons of the traditional market cap weighting approach to indices and why schemes holding passive equities should consider fundamental indexing.
The European Central Bank will dodge quantitative easing to solve the eurozone sovereign debt crisis because its mandate does not allow it, an Aegon fixed income manager says.
DLA Piper's Tamara Calvert looks at issues covered in the DWP's auto-enrolment consultation.
This month the panellists discuss the effect of the European debt crisis on markets, the trend to dividend growth, and the role of emerging markets in returns.
More than 80% of scheme managers agree the cost transparency of defined contribution schemes needs to be improved to make them more simple, clear and comparable for members.
Juan Carlos Artigas, investment research manager at the World Gold Council, makes a case for gold as an independent asset class.
As many are returning from or getting ready to enjoy their summer holiday, the DB pensions industry has been experiencing what many would consider to be a perfect storm.