All Private debt articles – Page 5
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FeaturesCornwall agrees new private credit allocation
The Cornwall Pension Fund is set to make an allocation to private credit, an asset class increasingly popular among schemes as tightened bank regulation has opened up a new range of investment options.
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News
Monitoring key as risk creeps into managers’ direct lending strategies
Increasingly complex models of unitranche loan agreements are being brought to market by managers offering direct lending products, a research paper has found, demanding careful governance from pension scheme investors.
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FeaturesMPs’ scheme votes for secured loans over REITs
The Parliamentary Contributory Pension Fund has simplified its property portfolio and invested proceeds in a European loans mandate, with a view to generating income.
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OpinionWhich investments can cash flow negative schemes turn to?
Schemes paying out more than they receive could benefit from investing in assets where cash flow is secured by contract, argues Insight Investment’s Steve Aukett.
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NewsCBI requests reforms to ease DB burden on businesses
The Confederation of British Industry has called for a number of reforms to help tackle the problem of pension costs for companies, including access to illiquid assets and approaches to measuring deficits.
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FeaturesStrathclyde earmarks £750m for MAC and private debt
The Strathclyde Pension Fund has made large allocations to both private debt and multi-asset credit as it looks to take advantage of the growth in non-bank intermediaries.
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FeaturesRBS scheme diversifies with US life settlements
The RBS Pension Scheme has made a number of new investments as part of its long-term plan to diversify its portfolio.
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FeaturesRoyal Mail diversifies alternatives ahead of planned scheme closure
The Royal Mail Pension Plan has diversified the alternatives investments in its portfolio, adding new private debt and infrastructure funds, while almost eliminating its exposure to equities in one of its sections.
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FeaturesVodafone scheme diversifies with alternatives additions
Vodafone has made a foray into a number of new asset classes, including alternative beta, alternative credit and private market investments, for greater diversification.
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FeaturesBBC aims to drive down fees in private markets strategy
The BBC scheme lowered its overall investment management fees by £3m over five years, while further increasing its significant exposure to private markets, a move the scheme says allows it to match liabilities at the same time as generating capital growth.
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OpinionThe search for yield: Opportunities in private debt
From the blog: As global markets have taken a beating since June 24, pension funds are likely to be wondering where they should look for safer returns that answer the search for yield.
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Opinion
Do schemes fully understand their fixed income risks?
Aon Hewitt's Tim Giles, Hymans Robertson's Carl Hitchman, Law Debenture's David Felder, M&G Investments' William Nicoll and the Pension Protection Fund's John St Hill discuss the different types of fixed income risk in the second of this three-part panel discussion.
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Opinion
The ‘illiquidity premium’ is not quite the draw it was
In this week’s edition of Technical Comment, PIC’s Mark Gull argues there are “large caveats” to the illiquidity premium that is available through such investments as infrastructure debt.
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News
How schemes got value from fixed income in 2013
This year saw many schemes rethinking fixed income portfolios to gain much needed return in a low-yielding environment.
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