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Asset allocation

Shanta Acharya and Elroy Dimson

in Endowment Asset Management: Investment Strategies in Oxford and Cambridge

Published in print:
2007
Published Online:
May 2007
ISBN:
9780199210916
eISBN:
9780191705816
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199210916.003.0005
Subject:
Economics and Finance, Financial Economics

Institutional portfolios with long-term investment horizons, such as endowments, are best invested in assets capable of generating equity-like returns, including those with private equity and ... More


Conclusion: Form and Function in the Twenty-First Century

Gordon L. Clark, Adam D. Dixon, and Ashby H. B. Monk

in Sovereign Wealth Funds: Legitimacy, Governance, and Global Power

Published in print:
2013
Published Online:
October 2017
ISBN:
9780691142296
eISBN:
9781400846511
Item type:
chapter
Publisher:
Princeton University Press
DOI:
10.23943/princeton/9780691142296.003.0009
Subject:
Economics and Finance, International

This chapter looks to the future and rehearses the argument about form and function, recognizing that today's ideal form of the sovereign wealth fund (SWF) is based on two sets of rules: those ... More


The Ethics of Global Investment: Norway’s Government Pension Fund

Gordon L. Clark, Adam D. Dixon, and Ashby H. B. Monk

in Sovereign Wealth Funds: Legitimacy, Governance, and Global Power

Published in print:
2013
Published Online:
October 2017
ISBN:
9780691142296
eISBN:
9781400846511
Item type:
chapter
Publisher:
Princeton University Press
DOI:
10.23943/princeton/9780691142296.003.0005
Subject:
Economics and Finance, International

This chapter examines the investment policies of the Norwegian Government Pension Fund-Global (GPF-G). One of the world's largest investors, this sovereign wealth fund (SWF) has an explicit mission ... More


A Collaborative Model for Long-Term Investing

Ashby Monk, Rajiv Sharma, and Duncan L. Sinclair

in Reframing Finance: New Models of Long-Term Investment Management

Published in print:
2017
Published Online:
January 2018
ISBN:
9781503601789
eISBN:
9781503602755
Item type:
chapter
Publisher:
Stanford University Press
DOI:
10.11126/stanford/9781503601789.003.0001
Subject:
Economics and Finance, Financial Economics

This chapter introduces the key themes that will be looked at in this book. In particular, it looks at the problem of long-term investing, illustrating why institutional investors are not acting in a ... More


New Vehicles to Drive the Collaborative Model

Ashby Monk, Rajiv Sharma, and Duncan L. Sinclair

in Reframing Finance: New Models of Long-Term Investment Management

Published in print:
2017
Published Online:
January 2018
ISBN:
9781503601789
eISBN:
9781503602755
Item type:
chapter
Publisher:
Stanford University Press
DOI:
10.11126/stanford/9781503601789.003.0004
Subject:
Economics and Finance, Financial Economics

Chapter 4 presents actual case study examples of the vehicles that have been set up and represent the collaborative model. Whereas earlier chapters provided the theoretical explanation and validation ... More


The Future of Long-Term Institutional Investment

Ashby Monk, Rajiv Sharma, and Duncan L. Sinclair

in Reframing Finance: New Models of Long-Term Investment Management

Published in print:
2017
Published Online:
January 2018
ISBN:
9781503601789
eISBN:
9781503602755
Item type:
chapter
Publisher:
Stanford University Press
DOI:
10.11126/stanford/9781503601789.003.0005
Subject:
Economics and Finance, Financial Economics

The concluding chapter emphasizes the need for institutional investors to rely on their own network economies as well as the agglomeration economies that they have access to through financial ... More


Reframing Finance: New Models of Long-Term Investment Management

Ashby Monk, Rajiv Sharma, and Duncan L. Sinclair

Published in print:
2017
Published Online:
January 2018
ISBN:
9781503601789
eISBN:
9781503602755
Item type:
book
Publisher:
Stanford University Press
DOI:
10.11126/stanford/9781503601789.001.0001
Subject:
Economics and Finance, Financial Economics

The role of financial intermediaries has come under close scrutiny in recent times as many of the practices of these service firms have been exposed for their opaque, rent-seeking and dishonest ... More


Building an Institutional Investor’s Collaborative Network and Social Capital

Ashby Monk, Rajiv Sharma, and Duncan L. Sinclair

in Reframing Finance: New Models of Long-Term Investment Management

Published in print:
2017
Published Online:
January 2018
ISBN:
9781503601789
eISBN:
9781503602755
Item type:
chapter
Publisher:
Stanford University Press
DOI:
10.11126/stanford/9781503601789.003.0002
Subject:
Economics and Finance, Financial Economics

Drawing on social capital theory, this chapter provides the key theoretical validation for why it is crucial for institutional investors to build their social capital. It argues that one of the key ... More


The Contribution of Institutional Investors to Fostering Stability and Long-Term Growth

Augustin de Romanet

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0003
Subject:
Economics and Finance, Financial Economics

This chapter presents the keynote address of Augustin de Romanet during the October 2010 conference “Sovereign Wealth Funds and Other Long-Term Investors: A New Form of Capitalism?” held at Columbia ... More


Introduction

Patrick Bolton

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0026
Subject:
Economics and Finance, Financial Economics

This chapter introduces the panel entitled “Expanding Investment Horizons: Opportunities for Long-Term Investors.” It argues that despite sovereign wealth funds' (SWFs) capacity and imperative to ... More


Building Long-Term Strategies for Investment of Sovereign Wealth

Martin Skancke

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0030
Subject:
Economics and Finance, Financial Economics

This chapter discusses the importance of integrating sovereign wealth funds (SWFs) with macroeconomic policies, based on the experience of Norway. Underlying Norway's SWF investment strategy is a ... More


Introduction

Stephany Griffith-Jones

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0019
Subject:
Economics and Finance, Financial Economics

This chapter introduces the panel entitled “Fostering Development Through Socially Responsible Investment.” It suggests that, in practice, SRI generally is viewed as a negative prescription, ... More


Panel Summary

Patrick Bolton, Frederic Samama, and Joseph E. Stiglitz (eds)

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0032
Subject:
Economics and Finance, Financial Economics

This chapter briefly summarizes the discussion of panel on long-term investing. It discusses how sovereign wealth funds (SWFs) are seen as possessing longer time horizons, yet SWFs often engage in ... More


Financing Long-Term Investments After the Crisis: A View from Europe

Franco Bassanini

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0005
Subject:
Economics and Finance, Financial Economics

This chapter presents the keynote address of Franco Bassanini during the October 2010 conference “Sovereign Wealth Funds and Other Long-Term Investors: A New Form of Capitalism?” held at Columbia ... More


Impact Investing: A New Asset Class and Its Implications for Sovereign Wealth Funds

Antony Bugg-Levine

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0020
Subject:
Economics and Finance, Financial Economics

This chapter explores, from a more practical perspective, sovereign wealth funds (SWFs) and their potential role in helping to form a new form of capitalism, and the benefits that will accrue. It ... More


Introduction

Peter Goldmark

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0035
Subject:
Economics and Finance, Financial Economics

This chapter introduces the panel entitled “Reducing Climate Risk” by discussing three trends that are driving our reaction to climate risk as they unfold. First, we have begun the transition to the ... More


Further Considerations

Patrick Bolton, Frederic Samama, and Joseph E. Stiglitz (eds)

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0031
Subject:
Economics and Finance, Financial Economics

This chapter presents responses to some questions and/or comments raised during the panel on long-term investments. One participant asked about long-term incentives and the compensation of AIG ... More


Panel Paper: L-Shares—Rewarding Long-Term Investors

Patrick Bolton and Frederic Samama

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0034
Subject:
Economics and Finance, Financial Economics

This chapter presents a paper on loyalty shares (L-shares). L-shares reward buy-and-hold investors by granting them a call-option, or warrant, if they have held their shares for a prespecified ... More


Introduction

Pierre-André Chiappori

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0011
Subject:
Economics and Finance, Financial Economics

This chapter introduces the theme of the panel entitled “Benchmarking and Performance Standards,” by pointing to the conceptual challenges in defining appropriate benchmarks for SWFs. First on the ... More


Four Benchmarks of Sovereign Wealth Funds

Andrew Ang

in Sovereign Wealth Funds and Long-Term Investing

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231158633
eISBN:
9780231530286
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231158633.003.0014
Subject:
Economics and Finance, Financial Economics

This chapter discusses four benchmarks of sovereign wealth funds (SWFs) that take into account the economic and political context of these funds' creation and the role they play in an overall ... More


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