OMFIF’s Global Public Pensions delves into the investment strategies and operations of major global public pension and sovereign funds. Through a unique survey, interviews and contributions from leading practitioners, the aim is to understand how this important group of long-term investors are approaching major economic, asset allocation and operational challenges. This project is complemented by the Global Public Investor series which focused on central bank reserve managers.
Global Public Pension 2023 Report
For the second year running, our analysis will include insights from a detailed survey of major global public pension and sovereign funds. This will unveil the key economic factors shaping investment decisions, asset allocation intentions, environmental, social and governance commitments and operating models. OMFIF’s team of economists will also analyse public data from the 100 largest global funds to unpack returns and changes in asset allocation for these important long-term asset owners.
Global Public Pension 2022 Launch
This launch event presented the key findings of the report. It discussed the results of a detailed survey of asset owners’ allocation plans and investment strategies, together with insights on important areas such as ESG commitments, operating models, the use of external managers and investing in exchange-traded funds and Chinese assets.
TO BE WRITTEN