60-second summary
Opportunistic de-risking in the LGPS
28 Jun 2023
As funding positions and bond yields rise, is de-risking on the table?
Market background
Many LGPS funds have seen significant improvements in their funding position in recent years. At the same time, the lower-risk assets commonly used to protect portfolios by providing some degree of funding stability are looking much more attractive. Index-linked gilts and sterling corporate bonds, for example, are trading at higher yields than they have for the last 15 years. It seems reasonable, therefore, to consider whether now is a good time to de-risk portfolios.
In this 60-second summary, Philip Pearson explores:
- The market background
- Decision factors for de-risking
- Next steps for LGPS funds to prepare themselves to take the decision on de-risking and, if appropriate, implement it
- Hints and tips for de-risking success
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