
Carlo Svaluto Moreolo
Carlo is deputy editor of IPE. He has nearly 20 years of experience as a journalist, more than half spent covering institutional investment. He started his career in financial journalism in London on the eve of the Great Financial Crisis. He has professional experience in corporate communications and international development, following a spell at the African Development Bank in Tunis.
Contact info
- Tel:
- +44 (0)20 3465 9335
- Email:
- carlo.svaluto@ipe.com
- Special Report
Fiduciary management: Race for UK mandates intensifies
UK pension schemes with complex and diverse needs are turning to fiduciary management in growing numbers. Who will be the winners in this increasingly competitive sector?
- Interviews
ECP Asset Management: An Australian approach to concentrated equity portfolios
The 2020s will likely be remembered as a period of high stock market concentration, similar to the decade of ‘nifty fifty’ stocks, which propelled the US market in the years before the 1973 crash.
- Opinion Pieces
UK fiduciary management industry needs to expand
The idea that too much choice limits freedom, known as the paradox of choice, is a powerful one. But the opposite is true as well, especially when it comes to the UK fiduciary management industry.
- Interviews
European pension funds on investing in their home market: a delicate balance
Pension funds in Europe have been reducing their allocation to European assets, especially listed ones. While valuations may be attractive, there is little else to convince them to raise their investments in their home market
- News
Investment in European equities by European asset managers has fallen by a third
Share of listed equities issued in Europe held by investment funds domiciled in euro area has dropped from 37% in 2015 to 27% at the end of last year, says EFAMA
- Opinion Pieces
The private credit market needs careful monitoring
European institutional investors seem to be in a bind. Equities performed well this year, but market concentration remains at record levels and many investors expect a correction. Returns from bonds have been mostly positive, but that could change if inflation flares up again. The real estate market may be starting to recover, but it is early days, and the recovery may not be linear.
- Interviews
How pension funds manage derivatives and liquidity needs
The use of derivatives, for hedging and other purposes, is common among pension funds, but it can be a drain on liquidity. We asked three pension funds how they ensure adequate levels of liquidity when interest rates are volatile
- Interviews
HypoVereinsbank pension funds: Searching for sustainability in private markets
Markus Schmidt, director of asset management for the pension funds of Germany’s HVB, talks to Carlo Svaluto Moreolo about the schemes’ combination of strict liability and risk management with a broad growth portfolio and sustainability focus
- Special Report
Prospects for 2025: Pension investors identify risk scenarios
High equity valuations and a possible return of inflation, caused by geopolitical tensions and US policy, have European pension funds worried
- News
BlackRock nears $12bn acquisition of private credit behemoth HPS
BlackRock is diversifying away from its core business, index investing and ETFs, seeking to build its fee-generation capacity
- Opinion Pieces
Europe’s right wing can break pensions
Now that they hold power in several European countries, radical right-wing parties can make or break Europe’s pension systems.
- Analysis
The pensions reform promises of Europe's far-right political parties
The rise of far-right parties has bolstered support for European welfare state systems, but radical right-wing policymakers face difficult choices
- Interviews
BNY Investments: More than the sum of the parts?
The world’s top asset managers are a diverse bunch. From pure-play managers to investment bank-owned firms and those with an asset servicing heritage, the different flavours also reflect the changing nature of the sector.
- Special Report
Asset owners confront waning resolve of their managers on climate change
Will the notable exits from Climate Action 100+ and other investor coalitions influence manager selection decisions for European asset owners?
- Interviews
Cassa Nazionale del Notariato: Megatrend investor
Stella Giovannoli, CIO and CFO at Italy’s Cassa Nazionale del Notariato, talks to Carlo Svaluto Moreolo about the efforts to modernise the fund
- Opinion Pieces
Investors must work together to improve AI stewardship
While perhaps the same cannot be said about climate change, there seems to be a consensus about artificial intelligence (AI) in the United Nations General Assembly.
- Analysis
How asset managers are getting to grips with AI
The use case for artificial intelligence in asset management is understood, but there are meaningful questions as to what the technology can actually achieve
- Interviews
SEI Investments seeks new partnership approach
SEI Investments, the Pennsylvania-based technology and investment firm, was a vocal advocate for independent fiduciary management in the UK pension industry.
- Opinion Pieces
Institutional investors shouldn't be so concerned about equity market concentration
Before the August 2024 equity sell-off, the rising level of concentration in global equity markets had many investors worried for some time, and concentration may well continue to be a feature of equity markets in the near future.
- Asset Class Reports
Equities: Active investors keep their eye on the prize
As equity markets enter a new phase after the August 2024 sell-off, institutions are sticking to their long-term active equity approaches