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Cashflow-generating Alternatives Change the Game at Korea’s POBA
Pension fund CIOs often enter their roles wanting to be agents of change, bringing new strategies and new perspectives to their institutions.
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Asset Owner Survey: Managing through Uncertainty
As the global pandemic unfolds, 368 investors representing $11 trillion in assets share their lessons learned, key portfolio changes and expectations for the year.
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Testing Times for Infrastructure Investment Resilience
While the infrastructure sector has been robust during previous crises, the COVID-19 pandemic is creating a global economic scenario quite unlike any that has preceded it.
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The Rise of Listed Infrastructure and REITs
The past decade has seen dramatic growth in the listed infrastructure sector, as well as the emergence of hybrid strategies that combine listed infrastructure with REITs. This paper draws on the
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DNA of a Manager Search: Real Estate Debt
Today, investors in many illiquid asset classes are seeking subsectors and asset managers that can defy the overall yield compression of the last five years.
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Do Listed Infrastructure and REITs Work Better Together?
Amid the recent rise of Listed Infrastructure and REITs, one particularly notable change is the emergence of
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The Changing Face of Infrastructure Investment
Infrastructure, as an asset class, is now grappling with something of an identity crisis. Does it offer the same promise that underpinned demand a decade ago?
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Small Insurer Boosts Sophistication, Adds Alternatives
Foresters Friendly has been drawing the attention of the insurance investment industry in 2019, with accolades for its new approach featuring a high-quality multi-asset solution complemented by
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Getting Real on Real Asset Returns
The Teck Resources pension plans have been investing in infrastructure for thirteen years and real estate for
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Investing in Renewables: Navigating the Transition
Once a small niche of the infrastructure asset class, renewable energy investing has exploded in size and maturity with a universe of over 50 managers offering strategies dedicated to the
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Manager Selection and the #FakeInfra Debate
For institutional investors thinking about LISTED INFRASTRUCTURE, particularly in light of the still-heated “#FakeInfra” debate, three questions are high on the agenda.
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Sector in Brief: Private Market Secondaries
Secondaries are changing. As investor capital has flooded towards illiquid asset classes, one outcome has been a transformation in the secondary markets. Before, secondaries were predominantly a
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DNA of a Manager Search: Infrastructure
The latest edition in bfinance’s biennial Investment Management Fees series. New analysis highlights areas where investors may be able to benefit from pricing trends, with ESG/Impact at the
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Rethinking Real Assets
While the post-GFC phase was marked by diversification towards real assets, recent years have seen greater emphasis on diversification within real assets. How beneficial is this type of
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Investing in the 'Infrastructure 3.0' Era
The financial crisis ushered in a new era of unlisted infrastructure investment. Three trends - high appetite for illiquid investments, the desire to reduce equity risk exposure after the lessons
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