The collaterised debt obligations market is one of the fastest growing parts of the international cap...
The uncertain outlook for public equities, coupled with the continued demand for strong returns, has ...
SCHEMES are decreasing their UK equity exposure in favour of overseas markets and high alpha products, research by Hymans Robertson says.
INVESTORS will have to learn to adapt their asset allocation as climate change takes hold, a senior investment strategist has warned.
THE PENSIONS Regulator has withdrawn the requirement to submit annual declarations and accompanying documentation for stakeholder schemes.
SCHEME exposure to derivatives is set to soar because fund managers are increasingly ditching cash bonds in favour of credit default swaps, experts say.
NEW STAR Asset Management is issuing fresh shares in its listed exchange-traded security product that tracks the performance of hedge funds.
Pension schemes continue to embrace alternative investments as a means to diversify, but commoditi...
CURRENCY overlay managers add value to scheme portfolios, latest statistics from Mellon Analytical Solutions reveal.
BALANCED pooled funds' performance slumped from 2.8pc in December 2006 to 0.1pc in January 2007, latest figures reveal.