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UK’s Brunel ready to pool assets

August 15, 2018March 20, 2018 by Sarah Rundell

Brunel Pension Partnership is starting its consolidation of 10 local government pension schemes into one mega fund. CIO Mark Mansley cites pragmatism and cost among the guiding objectives.

Categories Investor Profile, Manager Relationships, Organisational Design Tags Brunel Pension, manager selection, Mark Mansley, pooling assets Leave a comment

Fund managers lack business skills

August 7, 2018March 19, 2018 by Amanda White

PGGM’s Jaap van Dam and Kempen’s Lars Dijkstra say that asset owners with long-term horizons should look for managers who can analyse industries and companies to find intrinsic value.

Categories Equities, Sustainability Tags Focusing Capital on the Long, Jaap van Dam, Lars Dijkstra, long-horizon investing, long-term investing, long-term mandates, PGGM, The 300 Club Leave a comment

OTPP makes paying well pay off

March 29, 2023March 16, 2018 by Amanda White

Ontario Teachers must pay well to attract talent for in-house management, but its results are worth it. The fund’s ways of linking remuneration to performance hold lessons for the world.

Categories Governance, Organisational Design Tags CalPERS, compensation, incentives, Ontario Teachers' Pension Plan, OTPP, performance pay, remuneration, Ron Mock Leave a comment

Rethink fund manager relationships

August 15, 2018March 14, 2018 by Amanda White

When the £16 billion BBC Pension Scheme started moving away from active listed strategies, it was time to rethink its interactions with external managers, starting with a few key questions.

Categories Manager Relationships, Organisational Design Tags alternative investments, asset owner/asset manager relatinships, BBC Pension Fund, fees, fund manager relationships, James Duberly Leave a comment

GPIF seeks better beta through ESG

August 10, 2018March 14, 2018 by Amanda White

You can’t beat the market if you are the market. That’s reality for Japan’s behemoth pension fund; therefore, it looks to improve overall returns by engaging and investing with an ESG focus.

Categories Asset Classes, Equities, Investor Profile, Sustainability Tags beta, better beta, ESG, GPIF, Harry Markowitz, Japan, MSCI, passive management, sustainability, Yasuyuki Kato Leave a comment

GEPF values governance

August 15, 2018March 12, 2018 by  

A letter to the editor from GEPF in response to the story “GEPF shows value of governance”.

Categories Opinion Leave a comment
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California Public Employees Retirement System (CalPERS)

AUM ($B): $563
Country: United States
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ABP/APG Asset Management

AUM ($B): $709
Country: Netherlands
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California State Teachers Retirement System (CalSTRS)

AUM ($B): $368
Country: United States
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