This content is from: Portfolio Citing Fee Pressures and Limited Resources, Institutional Investors Have Started to Go Passive in Fixed Income More than a third of investors surveyed by State Street Global Advisors had at least 20 percent of their fixed income portfolios allocated to index strategies. By Jessica Hamlin October 05, 2022
This content is from: Portfolio No Amount of Economic Turmoil Can Faze Brookfield The alternative-asset manager is muscling past rivals with hefty infrastructure deals. By Jonathan Kandell January 17, 2023
This content is from: Corner Office Hit by a ‘Perfect Storm,’ Risk Parity Managers Try a More Active Approach Poor performance is expected in a downturn — but these managers say they can stem the losses. By Alicia McElhaney December 16, 2022
This content is from: Corner Office How Institutions Game Benchmarks Richard Ennis argues that allocators are choosing a low bar to assess their performance, a practice that ultimately keeps active managers in business. By Julie Segal October 21, 2022
This content is from: Corner Office Asset Managers Can No Longer Just Buy Competitors and Leave Them Be “What we’ve seen is a shift in the reasons why investment managers are pursuing deals,” said Kevin Gallagher, principal at Casey Quirk. By Grace Chung October 25, 2022
This content is from: Portfolio Investors See Opportunities — and Risks — of a Lifetime ‘It’s irresponsible to think of allocating to an asset class as a whole,” says JPMorgan’s Mary Erdoes. By Julie Segal November 04, 2022