All Portfolio articles – Page 8
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News
SWFs boost real estate allocations ahead of PE, infrastructure
Survey by Invesco shows reversal of trend seen in previous two years
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News
Two-thirds of investors boosting real asset allocations in five years
Survey of JP Morgan conference attendees uncovers widespread appeal
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News
APG to team up with GeoPhy for property data venture
Dutch asset manager to work with data provider
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News
IPE RE Global Awards: Ivanhoé Cambridge wins Best Global Investor
Rupert Nabarro wins prize for Outstanding Industry Contribution
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News
LACERA lines up another $800m for real estate investment
US pension fund, however, expects exposure to asset class to fall
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News
New Zealand Super exits real estate funds as it culls external managers
Partners Group buys stakes in five funds for undisclosed amount
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Analysis
Karsten Kallevig: Norges Bank committed to real estate despite pricing
Real estate chief at Norwegian SWF explains lack of property transactions in Q1
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News
INREV: APG, PGGM, BVK, Alberta Teachers make case for real estate
Dutch pension funds reveal moves into retirement homes and schools
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News
CalPERS creates 'harmonised' real assets strategy
US pension fund approves five-year plan for property, infrastructure, forestland
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News
Norwegian oil fund raises real estate limit but rejects infrastructure
Sovereign wealth fund moves away from real estate benchmark
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News
Germany's BVK targets Americas with new real estate mandates
Pension fund adds to global strategy with specialist and regional managers
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Magazine
Portfolio: Water works
A framework to measure the liquidity of property assets can provide a more nuanced view for portfolio managers. Bill Page explains
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Magazine
Portfolio: Mid-table performance
‘Past performance is not a guide to future performance’ has become a very familiar phrase in the investment world, and increasingly to consumers via the small print of metro and newspaper ads. Despite this, investors often consider past performance and related metrics as important factors in investment and fund selection.
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Magazine
Portfolio De-Risking: Still a role to play
The growing phenomenon of ‘de-risking’ among UK pension funds has often implied a broad move out of risk assets. But Alistair Jones and Mark Callender ask whether property should be spared
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Magazine
Portfolio: Quality control
Prime, secondary and tertiary are inconsistently used terms to describe building and location quality. But asset allocators need an accepted, accurate industry-wide definition, writes Malcolm Frodsham
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News
Bouwinvest's core portfolio delivers 'value-add' returns in 2015
Real estate returns 12.8% as domestic and international markets strengthen
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News
SWIB to redeploy capital from Facebook campus sale
Pension fund doubled its money by selling Menlo Park campus
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News
Texas Teachers to allocate $1.3bn to emerging managers
Pension fund confirms commitment to 10-year programme
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News
European insurers look to real assets as they face return shortfall
Survey shows companies are unlikely to be able to meet targets
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News
Pennsylvania State Employees creates standalone real estate allocation
US pension fund reviews real assets porfolio, increases allocation from 10% to 12%