Canadian Plan Sponsors Rebound Strongly to Return 7% in Q1
US, Canadian equities were top-performing asset classes.
US, Canadian equities were top-performing asset classes.
Despite a Q1 comeback, ABP, PFZW officials are worried about low interest rates, future benefit reductions.
Expanding stockpiles and surging shale pumping may put upper limit on petrol reprise.
The average investor fled from the stock market and ended up losing twice what the S&P 500 did, Dalbar says.
For the past 20 years, the fourth month has been the best for the S&P 500, rising an average 1.7%, LPL Financial says.
Christina Paxson says endowment is ‘not a political instrument.’
Dimensional Fund Advisors is the latest manager to be fired by the SFERS board due to performance issues for two of its investment strategies.
Norway wants to reduce portfolio’s vulnerability to oil’s tendency to crash.
How overreliance on one asset class led to a $56.6 billion wipeout.
Group says Korean equities have ‘chronically underperformed’ for seven years.
Goldman Sachs study finds the OPEC production ceilings are, for once, effective.
Brown Brothers Harriman study finds investors are now looking at them as defensive plays.
Japan’s GPIF lost a staggering $136 billion due to Q4’s rout in equities.
The late-year market slide happened quickly, CIO Bachher says.
Funds were on track to top 90%, but investment slumps brought them in slightly below 2017’s showing.