Secure retirement by protecting and growing pension fund assets with resilient, low-correlation unlisted infrastructure investments for long-term risk-adjusted returns. Continue Reading
Asset Management
Public Pension Portfolio Management News
The latest developments and trends in asset management practices for institutional investors. Find out how to submit articles on this topic here.
Los Angeles Fire and Police Pension Dept. ends its Emerging Markets account due to geopolitical risks, low returns, and high fees, reallocating to developed markets and alternatives. Continue Reading
Discover why retirees need dynamic, income-focused investment strategies that limit market downturn impacts, reduce sequence of return risk, and ensure secure retirement income. Continue Reading
Explore India's rapid economic growth, investment opportunities, and challenges like inequality and infrastructure gaps in this insightful analysis by Meketa Investment Group. Continue Reading
Explore key trends in securitized debt, including CMBS opportunities, strong U.S. consumer fundamentals, and resilient mortgage credit amid rising rates. Continue Reading
Explore Nuveen's insights on adapting institutional investment strategies amid macroeconomic uncertainty. Discover nine key themes for resilient, agile portfolios. Continue Reading
Explore the booming $500B market of GLP-1 drugs like Ozempic, key obesity treatments by Eli Lilly & Novo Nordisk, and their impact on healthcare and consumer trends. Continue Reading
Explore maritime private credit as a unique investment opportunity offering strong returns, diversification, and security amid declining bank lending in the shipping industry. Continue Reading
Explore the evolution of infrastructure equity from traditional assets to innovative, climate-focused investments. Discover why middle-market funds may deliver stronger returns. Continue Reading
Discover how private infrastructure debt offers public pension investors diversification, steady income, inflation protection, and lower risk amid global funding gaps. Continue Reading
Explore Kevin Kneafsey's insights on financial gravity and rising interest rates' delayed impact on the U.S. economy, debt, and investment strategies. Continue Reading
Discover Wilshire's insights on Risk Mitigating Strategies (RMS) for institutional investors, offering low-correlation, systematic approaches to diversify and protect portfolios. Continue Reading