All UK equities articles – Page 2
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      FeaturesActive managers unable to mitigate late 2018 volatilityFor active managers, the ultimate test of mettle will always be whether they can beat their benchmark. As of the end of 2018 the news looks good for stockpickers specialising in UK equities, but analysts say there are still concerns behind the numbers. 
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         Opinion OpinionHow to beat volatility in 2019With an eye purely on the numbers, it might be tough to pinpoint exactly what has led to the worst year for stock markets since the end of the global financial crisis. 
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      FeaturesShould schemes become more eurosceptic?Analysis: Trustees may be tempted to act upon the past few weeks’ eurozone headlines, which have detailed sweeping geopolitical change across Italy and Spain and frightened investors in the process. 
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         Features FeaturesKent stands by Neil Woodford despite massive underperformanceDespite concerns over the performance of its UK equities mandate with Woodford Investment Management, the Kent County Council Superannuation Fund has elected to retain its mandate with the embattled asset manager. 
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         Features FeaturesJLR drives down costs with DC strategy refreshUK automotive stalwart Jaguar Land Rover has embarked on a complete overhaul of its defined contribution offering in a bid to drive down costs and improve member outcomes. 
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         News NewsGina Miller: Brexit could change retirement attitudesEconomic turmoil induced by the UK’s exit from the EU might tempt savers to draw from their retirement pots sooner, according to Gina Miller, founding partner at wealth manager SCM Direct. 
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         Features FeaturesScapa sticks to risk management strategy with PieAdhesive tape manufacturer Scapa has carried out a pension increase exchange exercise, in its latest move to manage the cost and risk of its legacy defined benefit scheme. 
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         Features FeaturesManchester University upgrades investment strategyTrustees of the Manchester University Superannuation Scheme have adopted a new liability-driven investment strategy, while dropping a UK equity mandate in favour of global equities. 
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         News NewsState of the nation: What's going on in DC accumulation?One of the spectres that hung over the announcement of freedom and choice in the 2014 Budget was the fear the proposition would be so attractive people would abandon their defined benefit schemes to make the most of the flexibility. 
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         Features FeaturesMarket effects of possible Brexit throw up investment questionsAnalysis: Trustees must consider how growing uncertainty over the UK’s future in the European Union could hit their holdings, consultants have said, identifying both headwinds and opportunities en route to the referendum. 
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         News NewsTesting market conditions greet 2016Market volatility is here to stay, experts have said, urging defined benefit trustees to assess their risk management frameworks and eliminate unintended exposures as the year kicks off. 
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         Opinion OpinionHow underpricing political risk could hit pension fundsAs the UK considers future relations with Europe, MFS Investment Management’s Madeline Forrester explores what a possible exit means for UK pension funds. 
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      OpinionWhat the low-carbon drive means for UK pension fundsAnalysis: As the divestment movement garners legislative backing in the US, how should UK pension funds respond to the long-term risks of holding fossil fuel stocks? 
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      NewsHome bias to UK equities has cost schemes, say expertsFTSE 350 schemes paid the price for a strong domestic equity bias during 2014, but it was a lack of protection in matching assets that damaged funding levels the most during the year. 
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      NewsCarbon-conscious schemes rally for strategic climate change responseLow-carbon pension funds have called on other asset owners to seek opportunities in real assets and emerging markets to mitigate the risks of climate change. 
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      NewsHow the slump in oil prices is hitting schemesAs oil prices fall below $50 (£33) a barrel, investment experts have urged pension schemes to seize the opportunity to hedge their liabilities against inflation and heed the impact on their commodity markets exposure. 
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      OpinionWhy the equity market is some way short of a bubbleJP Morgan’s Patrik Schöwitz looks at the value in global equity markets, and argues that a “golden period” for the asset class is not on the verge of becoming tarnished, in the latest edition of Informed Comment. 
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      OpinionFive key charts from the PPF's Purple BookFlying in the face of almost everything else pensions-related this year, the latest annual edition of the Pension Protection Fund's Purple Book revealed few if any big shocks. 
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      FeaturesHillingdon targets equity dividends, looks to lock in gainsLondon Borough of Hillingdon Pension Fund has shifted its equity portfolio away from UK holdings and towards unconstrained strategies, but the move has so far failed to perform. 
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      FeaturesWestminster moves towards global equities to free up managersThe City of Westminster Superannuation Fund has decreased its UK equity holdings in favour of global stocks to give managers greater flexibility and boost performance. 
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