Vince Childers thinks DC schemes should take a look at real assets.
Ludovic Colin says that 2017 will call for a flexible approach to bond investing
This year is set to be a bumpy ride with yet more geopolitical events and tensions between central bank policies. Stephanie Baxter takes a look at investment predictions for 2017.
Improved prospects for growth and inflation mean investors should look to invest more in risk assets according to Schroders.
UK pension schemes' average allocation to bonds has risen to over 50% for the first time according to The Pension Protection Fund's (PPF's) Purple Book.
Kevin Wesbroom looks at the issues the industry faces around liabilities
The 350 largest UK listed companies could see their 2017 profits fall by £2bn as the cost of new defined benefit (DB) scheme benefits rises.
The cost and size of pension deficits are increasing which has consequences for trustees, company directors and shareholders. Michael Klimes asks if investors are starting to worry.
Liquid alternatives and private debt have the most potential to benefit from Britain's vote to leave the European Union (EU) according to research.
Andrew Milligan looks at what we can expect over the coming months as the industry comes to terms with the UK's decision to leave the EU.