Aaron Minney: Building a retirement mindset, industry innovation and longevity hedging

In this episode, Alex Proimos, head of institution
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‘Quiet accumulation’ of US reforms raising financial crisis risk: Stanford scholar

‘Quiet accumulation’ of US reforms raising financial crisis risk: Stanford scholar

A string of individually defensible US regulatory changes made since 2025 is weakening both the private and official checks on risk-taking, according to Stanford University Hoover Institution senior fellow Ross Levine, who warns the combination is raising the risk of a future financial crisis.

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Climate agreement marks turning point

Days of intense negotiations at the long-awaited COP21 meeting in Paris have seen a definitive agreement emerge on climate change.

The bioeconomy century

AP2, the SEK300 billion Swedish buffer fund, is attracted to the diversification benefits and long-term nature of timber investments.

Investors from the moon: Fama

A highlight of the Fiduciary Investors Symposium at Chicago Booth School of Business was an intimate Q&A session with the “Father of Modern Finance” and Nobel Laureate, Eugene F. Fama.

We don’t have to be friends

“I don’t have to like you, we don’t have to be friends,” says Chris Ailman, chief investment officer of CalSTRS.

Optimal factor index design?

EDHEC-Risk Institute suggests that investors should be wary when implementing factor tilts to ensure diversification still reigns.

Holding managers to account

CalPERS has integrated sustainability into its investment strategy and implementation, and uses asset class-specific criteria to assess managers on ESG.

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