Table of content
Interview with Elo’s Chief Investment Officer Hanna Hiidenpalo
Discusses Elo’s digital transformation in investment operations, introduction of new investment professionals skilled in coding, and the shift to team-based investing supported by advanced data analytics and tools.
AP2 Designs Pioneering ESG Benchmarks for Global Equities
AP2 replaces global equity benchmarks with internally created ESG-integrated indices to enhance returns and sustainability impact, utilizing proprietary factor selection and smart beta strategies.
Roundtable on ESG Integration in Stockholm
Industry experts debate definitions, data challenges, engagement strategies, and emerging trends in ESG investing emphasizing the importance of bespoke approaches and collaboration.
News Analysis: Ilmarinen’s New Investment Team Line-up
Covers Ilmarinen’s merger with Etera, resulting in organizational restructuring and strategic focus on alternative assets amid concerns of asset class overheating.
News Analysis: Ericsson Pensionsstiftelse’s Risk-Factor Mapping
Highlights Ericsson Pensionsstiftelse’s portfolio risk-factor modeling, cautious private equity exposure amid high valuations, and selective manager relationships.
News Analysis: Fund Selection, Platforms and MiFID II
Examines Nordic platforms’ differing responses to MiFID II regulations with some narrowing fund offerings and others maintaining broad selections, reflecting on retrocession acceptance.
Helsinki Bourse Club’s Vote on Non-Women Clause
Details controversial club’s scheduled votes on allowing female members after narrow majority support in survey, highlighting cultural and reputational challenges.
On the Move: Industry Perspectives and Highlights
Various industry updates including Spotify’s stock market debut, Nordic collaboration on digital due diligence, green investment divestments, and CO2 reduction progress by OPF.
The Dilemmas of Insourcing Asset Management
Explores Nordic pension funds’ considerations on internal asset management relative to cost savings, organizational impact, strategy flexibility, and long-term focus.
Investor Focus: SEB Gamla Liv’s Diversification Strategy
Details Gamla Liv’s significant allocations to alternatives and uncorrelated assets, cautious approach to hedge funds and shift from listed equities and bonds.
Åbo Akademi University Foundation’s Active Stock Picking
Profiles foundation CIO’s bottom-up investment approach focused on transparency, stable dividends, and long-term risk-managed portfolio construction.
Greenland’s Sisa Pension Fund’s Growth and Strategy Shift
Discusses Sisa’s expanded role under new mandatory pensions legislation, outsourcing model, diversification push, and focus on Greenlandic alternative investments.
Book Review: “The End of Indexing” by Niels Jensen
Summarizes key themes about structural mega-trends affecting markets, the risks to passive investing, and recommendations for active management focus.
Up-Close and Personal: Niina Bergring, Veritas CIO
Personal interview covering her career path, investment philosophy emphasizing fundamental analysis, ESG integration, and work-life balance.