David Bell: Analysis from the Conexus Institute

In this episode, Alex Proimos, head of domestic content, Conexus Financial, chats with David Bell, executive director of the Conexus Institute, about a range of topics including governance models, market timing, heatmaps and early access.

Sponsored Content

Leave a Comment

PMT talks infra equity and how to balance stock concentration risk

PMT talks infra equity and how to balance stock concentration risk

Scenario testing has put inflation risk front and centre at PMT, the Netherlands’ third largest pension fund, and it's driving the investor to take stock of the inflation protection it gets from infrastructure. In an interview with Top1000funds.com, chief investment officer Hartwig Liersch unpacks the risk, as well as another initiative where it's balancing concentration risk in the equity allocation without hurting returns.

Sort content by

Russian invasion of Ukraine proves West not in decline: Stephen Kotkin

The Ukraine invasion is an epic tragedy but also an opportunity for the West to re-discover its values and restore neglected relationships with much of the world, according to Professor Stephen Kotkin, an American historian, academic and author.

AI, humans and the new age of asset management

AI cannot yet fully replicate human behaviour in all its dimensions, but if we are able to mitigate the risks that have and will come from multiple sources, it can be a game changer for our industry.

NYCERS eyes more US regional bank risk

The growing divergence between the Fed funds rate and interest rates on checking accounts is increasing the risk of bank deposit outflows for US regional banks. It's one reason why NYCERS' Steven Meier expects more failures and consolidation ahead.

Trustees urging UK pension schemes to stress test for spike in yields

UK pension funds are better prepared for a climb in gilt yields. After last years crisis many DB funds are now stress testing for an 8 per cent climb in gilt yields, says pension fund trustee Tegs Harding.

Commercial Real Estate: Into the Headwinds

Key Takeaways The commercial real estate market faces significant headwinds such as tighter credit conditions, income pressure and elevated refinancing needs over the next two years. In the US, while the risks are acute for owners of office properties, commercial real estate remains a diverse asset class and pockets of resilience can be found. As

Cashflows and risk management drive PSP Investments

The risk of a deficit is a key driver in the management of PSP Investments as it looks to build resilience and cashflows in its portfolio. Amanda White spoke to CIO Eduard van Gelderen.

Previous