FEATURED NEWS
Pohjantähti: Keenly awaiting Solvency II Reforms
A smaller Finnish insurer embracing alternatives; we interviewed Jani Partanen, Chief Investment Officer & CFO, who runs EUR 240 million, mainly allocated to external managers.......
Mitigating Risks in Supply Chain Finance and Trade Finance
Trade finance and supply chain finance are broad strategy groups that have become popular amongst Nordic investors, not least insurance companies. The collapses of Greensill Capital highlights some risk factors of these strategies. We spoke to one manager to discuss how risk factors can be managed and mitigated.....
Sustainable Development Goals (SDGs) – the investment opportunity
The last 12 month’s market turmoil has illustrated what can happen when the markets are suddenly faced with a risk for which they are unprepared. It is also a reminder that uncertainty is disruptive for businesses and investors alike, and that risk management is paramount in the pursuit of long-term goals.....
PKA’s ESG Policies Gather Momentum; Exclusions, Green Assets, Social Assets and Reporting
ESG Manager, Louise Aagaard, gives insight into how the ESG team integrates across investment departments, but also works closely with legal and risk.....
Aktia’s Extensive ESG Policies; Sovereign Debt, Impact Bonds, Transition, Reporting and Biodiversity
Markus Lindqvist, Head of ESG at Aktia Asset Management in Helsinki, Finland, highlights some of the distinctive features of its ESG policies. Aktia manages EUR 10.4 billion for institutional and retail clients, in the asset management division.....
ELO’s Asset Allocation and ESG Priorities; Active Management, Climate Change, Carbon Reporting and Engagement
Q&A with Jonna Ryhänen and Katja Einesalo from ELO, pension insurance company, which manages EUR 26 billion in pensions for one third of all Finnish companies and about 40% of self-employed people in Finland.........
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