On publication of the Department for Work and Pensions' (DWP's) draft regulations in July 2022, many in the industry were alarmed by the prospect of a significant loss of flexibility regarding their funding and investment strategies.
An effective sustainable investment approach will require an understanding of the challenges that asset managers are facing today.
In late 2022 Aviva Investors took the pulse of decision makers at 500 global institutional investors on their appetite for real assets, including those with a sustainable focus.
Why an actively managed, high quality fixed income strategy can help pension funds manage their liquidity waterfall
Janus Henderson’s Head of U.S. Securitized John Kerschner and Portfolio Manager Nick Childs explain why they believe key risks are now largely priced in to fixed income markets, with selective areas – particularly mortgage-backed securities – presenting...
In an increasingly busy market for bulk purchase annuities, schemes are reaching buyout funding earlier than planned.
Decision makers at public and corporate pension schemes share their views on asset allocation, sustainability and risk in their real asset investments.
2022 was a difficult year for some UK pension schemes, with the LDI liquidity crisis causing many trustees to scramble for liquidity to meet margin calls.
The way people take money from their pension has changed, so we now need to pay as much attention to the spending phase as we do to the saving phase. What are we doing to turn pensions into a complete retirement strategy?
Sustainable real assets in the spotlight