Keyword: fixed income

729 results found
Challenges for institutional investors around green bonds

While an angle on environmentalism can be applied to virtually every asset class, when it comes to bonds, it’s not easy being green. More specifically, there’s no real standardization for what constitutes a green bond, says Colin Purdie, chief investment officer for credit at Aviva Investors. Super-national organizations, such as the World Bank, pushed forward the creation of […]

Jim Keohane reflects on his HOOPP career, LDI strategy

Twenty years ago, Jim Keohane was brought into the Healthcare of Ontario Pension Plan to launch its derivatives program. Since then, he’s climbed his way to the role of president and chief investment officer, grown his reputation as a trailblazer in liability-driven investing and navigated the pension fund through the financial crisis with positive returns. […]

Pension Podcast: How can institutional investors capture South Korea’s next wave of growth?

Looking at South Korea today, it’s hard to believe the country was one of the world’s poorest just a few decades ago. But since the 1960s, its economy has been growing quickly. “In fact, from the mid-1960s to the mid-1970s, it had one of the highest growth rates in the world, and at times in […]

Schroders appoints new North American CEO

Schroders is appointing Marc Brookman as chief executive officer of its North American operations. Karl Dasher, the current CEO of North America and co-head of fixed income, will be leaving the firm at the end of the year. Before joining Schroders in 2018 as deputy CEO of North America, Brookman was managing director and head […]

  • By: Staff
  • October 8, 2019 November 12, 2020
  • 15:00
Canadian DB pension solvency declined in third quarter: surveys

The solvency positions of Canadian defined benefit pension plans declined slightly in the third quarter of 2019, according to new surveys from Aon and Mercer. Aon’s latest median solvency ratio survey reported a drop to 98.6 per cent from 99.3 per cent in the second quarter, while Mercer’s pension health index recorded 94 per cent […]

  • By: Staff
  • October 1, 2019 November 12, 2020
  • 15:15

Romania will be reclassified from a frontier to a secondary emerging market and Tanzania will become a frontier market, effective September 2020, according to the equity side of FTSE Russell’s latest classification review. Argentina was removed from the watch list for potential reclassification as a secondary emerging market because it has imposed capital controls. And […]

  • By: Staff
  • October 1, 2019 January 6, 2021
  • 10:50
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In the current market environment, there may be good reasons for investors to consider increasing their portfolio’s allocations to cash, according to a new report by Mercer. At the end of August 2019, cash yielded more than long bonds, says Dave Makarchuk, partner and Western Canada wealth business leader at Mercer, noting Canadian 91-day treasury […]

Pension Podcast: A look at Poland as a post-Soviet success story for institutional investors

After years of dramatic post-Soviet growth, Poland is a major contender in the global marketplace. However, it’s a mixed bag for institutional investors, who are finding both opportunities and limitations in the market. The country is holding up well in an increasingly challenging global environment where other economies are seeing growth slow, said Rachel Van Elkan, the […]

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A lot of ink has poured into the discussion of an inverted yield curve, and what it means, yet I am still unsure if people understand whether an inverted yield curve is a precursor of a recession or not. The fear of an inverted yield curve relates to historical evidence, which shows that an inverted […]

Measuring country specific investment risk in a discordant world

With pension portfolios continuing to diversify globally, the practical and political decisions made by heads of state matter to institutional investors more than ever. But it’s a tall order to measure the risks around these decisions. In response to increasing demand for reliable data, Sustainalytics is revamping its risk ratings system for sovereign fixed income […]