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Diagnosis: Opportunity? Direct Lending in Healthcare
Private debt investors are eyeing apparently superior returns in healthcare lending, with funds’ net IRR targets suggesting a premium of more than 300bps versus conventional direct lending
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Fixed Income: Time to Re-evaluate Credit Exposures, Consider CLOs?
The 2022-2024 period has provided new tests for investors’ fixed income and alternative credit portfolios, thanks to the repercussions of heightened interest rates and ever-extending expectations
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Investor Spotlight: The Evolution of Italy’s Pension Landscape
More than two decades have passed since the arrival of complementary pension provision in Italy, which brought with it a massive regulatory overhaul. bfinance spoke with Salvatore Casabona to
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Shariah-compliant Private Market Investing
The number of Shariah-compliant private market solutions has boomed in recent years, supporting investors that seek to improve risk diversification and reduce regional concentration. This brief
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Iceland’s SL Pension Pursues Internationalisation and Illiquidity
Less than a decade after the removal of capital controls that banned pension funds from investing assets overseas, Iceland is now achieving international recognition for the strength and health
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How Do “Liquid” Private Market Strategies Square the Circle? Part 1: Private Credit
The past two years have seen huge growth in the availability of private market strategies that offer some degree of in-built liquidity, such as open-ended funds and diversified multi-manager
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Rise of the Allocators: Multi-manager Strategies for Alternative Investing
Powerful forces have supported the growth and evolution of multi-manager models for ‘alternative’ investing over the past fifteen years.
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How Alternative Investing is Evolving at Denmark's Velliv
Next month will mark five years since Velliv (formerly Nordea Liv and Pension, Denmark) left its parent company—the banking group Nordea—to forge a new identity as a member-owned pension
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Should Investors Press Pause on Private Credit Commitments?
Investors are considering whether to slow down their deployment to illiquid strategies or maintain their previous pace after a year of disappointing performance in bond and equity markets,
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Manager Intelligence and Market Trends - August 2022
bfinance’s quarterly report in August 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major
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Manager Intelligence and Market Trends - May 2022
bfinance’s quarterly report in May 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major
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How AP1 is Driving Innovation in Manager Selection
When it comes to selecting and working with external asset managers, larger asset owners have a dual responsibility—says Majdi Chammas of Första AP-Fonden (AP1), one of Sweden’s four pension
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Snap Poll: What are investors thinking now?
Institutional investors around the globe shared how they are responding to pressing geopolitical and macroeconomic developments. With 418 investors from 39 countries taking place at the end of
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Navigating Opportunities in Maritime Leasing
Since the pandemic began, developments in the shipping sector have reverberated across the global economic landscape. Looking ahead, regulatory requirements around carbon emissions will drive
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Manager Intelligence and Market Trends - February 2022
bfinance’s quarterly report in February 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major
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Tackling The Committed Capital Conundrum
As investor allocations to illiquid strategies have boomed, the question of what to do with the capital that is committed to and returned from those strategies has become increasingly
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New Perspectives on Asian Private Markets
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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Reaching for Returns in Real Estate Debt
Amid the seemingly never-ending ‘hunt for yield’, high return real estate debt strategies are attracting investors’ attention.
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Renewable Energy Infrastructure: Lessons from Manager Selection
The renewable energy infrastructure landscape is evolving rapidly, as are asset managers’ strategies. This paper illustrates key developments, including case studies of recent manager
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Trade Finance: Sector in Brief
Investor demand for trade finance strategies has surged, with yield-hungry allocators eyeing opportunities in an ‘even lower for even longer’ rate climate.
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