LDI differentiator: the benefits of an integrated solution with credit

In this article we are shifting our
focus to discuss the benefits of an integrated solution of holding
investment grade credit with the LDI manager.

LDI market review and outlook – May 2025, tariff worries burden expectations for global growth

container ship

The 47th (and 45th) President of the United States embarked upon a whirlwind of executive orders designed to protect the US from the depredations of its trading partners and to dive straight into his newly mandated agenda.

Q1 2025 repo update

Screen with the digital data

How geopolitical shifts and policies are shaping market dynamics. We assess the impact on repo markets and activity.

LDI differentiator: the implementation manager role

Why an implementation manager can help simplify the governance structure for pension schemes, whilst potentially improving investment outcomes and reducing trustee risk.

LDI differentiator: the holding of third-party funds

Why pension schemes need to consider this under-discussed – and important – factor when structuring their LDI portfolio frameworks.

An alternative to lifestyling in defined contribution

Professional Pension

How to transform your DC pension strategy for better retirement outcomes.

LDI market review and outlook – February 2025, political risks clash with bond vigilantism

Man looking down at mobile phone at sunset

Activity was muted as political and monetary policy weighted on markets.

Q4 2024 repo update

Screen with the digital data

With political risk/geopolitics to the fore we assess the impact on repo markets and activity.

LDI market trends – getting things in perspective

Is now a good time to hedge liabilities?

Making sense of corporate bond spreads

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When it comes to credit allocations we argue it makes sense for pension schemes to prioritise strategic objectives over tactical considerations