Breadcrumb Home INTERACTIVE March 22, 2021 12:00 AM By the Numbers for March 2021 Aaron M. Cunningham Tweet Share Share Email More Reprints Print Pension risk transfer activity Annual volume by category (billions) Most recent transactions (millions) TypeSponsorDateAssets AXA U.K. Group Pension SchemeMarch 18$4,100 Civil Aviation Authority Pension SchemeMarch 10$152 ReachMarch 1$168 GreifMarch 1$100 Nexstar Media GroupMarch 1$96 ArconicFeb. 24$240 KelloggFeb. 23$268 Eastman ChemicalFeb. 23$110 DTE EnergyFeb. 19$60 Baxter InternationalFeb. 11$252 Mowlem (1993) Pension SchemeFeb. 9$206 For details on all recent pension risk transfers, clickhere. Monthly corporate funding ratio Trailing 12-month returns by asset class 20202021 JulyAugustSeptemberOctoberNovemberDecemberJanuaryFebruary S&P 50012.0%S&P 50021.9%S&P 50015.1%S&P 5009.7%S&P 50017.5%Russell 2000 20.0%Russell 2000 30.2%Russell 2000 51.0% BB U.S. Agg 10.1%MSCI EM 16.5%MSCI EM 10.4%BB U.S. Agg. 6.2%MSCI EM 15.0%S&P 50018.4%MSCI EM 27.9%MSCI EM 36.0% MSCI EM 7.2%MSCI ACWI ex-U.S. 8.3%BB U.S. Agg 7.0%Global ex-U.S. fixed income 5.0%Russell 2000 13.6%MSCI EM 16.3%S&P 50017.2%S&P 50031.3% Global ex-U.S. fixed income 5.9%BB U.S. Agg 6.5%Global ex-U.S. fixed income 5.5%MSCI EM 4.9%MSCI ACWI ex-U.S. 9.5%MSCI ACWI ex-U.S. 10.7%MSCI ACWI 14.0%MSCI ACWI ex-U.S. 26.2% High Yield 4.1%Russell 2000 6.0%High Yield 3.3%High Yield 3.5%Global ex-U.S. fixed income 8.9%Global ex-U.S. fixed income 10.1%Global ex-U.S. fixed income 8.2%High Yield 9.40% Cash1.5%High Yield 4.7%MSCI ACWI ex-U.S. 3.0%Cash0.9%BB U.S. Agg 7.3%BB U.S. Agg 7.5%High Yield 7.4%Global ex-U.S. fixed income 6.3% MSCI ACWI ex-U.S. 0.7%Global ex-U.S. fixed income 4.6%Cash1.1%Russell 2000 -0.1%High Yield 7.2%High Yield 7.1%BB U.S. Agg 4.7%Real Estate 1.6% Russell 2000 -4.6%Cash1.3%Russell 2000 0.4%MSCI ACWI ex-U.S. -2.6%Cash0.8%Cash0.7%Cash0.6%BB U.S. Agg 1.4% Real Estate -13.2%Real Estate -12.0%Real Estate -16.6%Real Estate -21.5%Real Estate -10.5%Real Estate -9.2%Real estate -9.8%Cash0.4% China's economic recovery is on track Key economic indicators, actual and forecasts 10-year government bond yield Shanghai Shenzhen CSI 300 index Sources: P&I Research Center; NISA Investment Advisors; Bloomberg LP Recommended for You Managed account adoption stalls in 2020 U.S. bonds have worst quarterly return since 1981 A lost decade for funded status Sponsored Content: Research for Institutional Money Management sponsored Events Sponsored White Papers Bipsync Client Stories: RMS in Action at Pensions and Superannuation Funds COVID-19 Makes LP Portfolio Management More Important Than Ever China: the outlook is bright for longer-term investors Finding Differentiation in Securitized Assets Green and sustainable bonds in emerging markets Portfolio Protection: One Size Fits None View More Sponsored Content Partner Content The Industrialization of ESG Investment For institutional investors, ETFs can make meeting liquidity needs easier Gold: the most effective commodity investment 2021 Investment Outlook | Investing Beyond the Pandemic: A Reset for Portfolios Ten ways retirement plan professionals add value to plan sponsors Gold: an efficient hedge View More