Pension De-Risking: Investment Strategies, Europe

Pension De-Risking: Investment Strategies, Europe

AVAILABLE 21st MAY

With many Defined Benefit pension funds facing threats to their funding position as well as an uncertain economic environment and volatile markets, the rationale to explore the latest in risk centred investment options is paramount. The provider market in responding to the changing environment has created new as well as improved upon investment strategies focussed on de-risking around the de-risking theme to help plans combat and deal with their uncertainty’s and fears.

Pension De-Risking: Investment Strategies, Europe is the fifth in a series of de-risking reports published by Clear Path Analysis where pension plan managers and their sponsors open up through white papers and roundtable debates as to the considerations they’re making for de-risking their plans and approaches they’re adopting currently.

Key issues the report will address include:

  • Scenario testing: the economic impact of a Euro zone devolution, Far-East meltdown or a new military conflict
  • Assessing your asset allocation strategies with de-risking at the heart of your objectives
  • Addressing the concerns over the impact of accounting rule changes
  • Anticipated regulatory challenges up ahead & their effect on de-risking investment strategies
  • Exploring popular de-risking strategies
  • Governance & risk management and the tools to assist you



Become a Sponsor
Become a Contributor
Become a Media Partner
Discuss the Report


SPONSORS:

Hermes

MEDIA PARTNERS:

Coming Soon

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