​Pension Funds Eye Volatility, But Correlation Risk Is A Tough Sell

EQDerivatives checked in with the pension fund sector to hear how they are dealing with the prospect of rising volatility affecting assets across their portfolios. While bond, equity correlation risk is not top of many funds’ priority lists, some are starting to look at rates and inflation overlays to their multi-asset funding portfolios.

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Daniel O'Leary
NOV 15, 2016

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