Pension Fund Name
Istituto di previdenza del Cantone Ticino (IPCT)
Address |
Contact |
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|
Via Dogana 16 |
Tel +41 91 814 4061 |
6500 Bellinzona |
www.ipct.ch |
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|
Facts and Figures
Description |
Pension Fund of the Canton of Ticino |
Category |
Public Pension Fund |
Membership |
15'860 active, 9‘012 retired |
Assets |
4'786 million |
Performance |
-2.00% |
Funded Ratio |
63.60% |
Senior Contacts
Assets Breakdown (31.12.2018)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
1.70% |
|
Loan to the Canton |
8.90% |
|
Bonds CHF |
27.90% |
|
Bonds non-CHF |
19.70% |
|
Equity Domestic |
6.90% |
|
Equity Foreign |
19.00% |
|
Real Estate Domestic |
15.90% |
|
|
|
|
|
100% |
-2.00% |
Assets Breakdown (31.12.2017)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
0.70% |
|
Loan to the Canton |
8.70% |
|
Bonds CHF |
29.10% |
|
Bonds non-CHF |
15.40% |
|
Equity Domestic |
7.40% |
|
Equity Foreign |
21.40% |
|
Real Estate Domestic |
12.50% |
|
|
|
|
|
100% |
6.40% |
Assets Breakdown (31.12.2016)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
1.80% |
|
Loan to the Canton |
9.90% |
|
Bonds CHF |
28.40% |
|
Bonds non-CHF |
19.80% |
|
Equity Domestic |
7.30% |
|
Equity Foreign |
21.10% |
|
Real Estate |
11.70% |
|
|
|
|
|
100% |
3.89% |
Assets Breakdown (31.12.2015)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
1.80% |
|
Loan to the Canton |
9.60% |
|
Bonds CHF |
30.20% |
|
Bonds non-CHF |
20.20% |
|
Equity Domestic |
7.20% |
|
Equity Foreign |
20.20% |
|
Real Estate |
10.90% |
|
|
|
|
|
100% |
1.42% |
Assets Breakdown (31.12.2013)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
1.90% |
|
Bonds CHF |
45.30% |
3.54% |
Bonds non-CHF |
17.40% |
3.10% |
Equity Domestic |
11.10% |
2.84% |
Equity Foreign |
11.80% |
1.12% |
Equity Emerging Markets |
2.00% |
4.564% |
Real Estate |
10.50% |
4.36% |
|
|
|
|
100% |
5.67% |
Assets Breakdown (31.12.2010)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
1.90% |
|
Bonds CHF |
42.10% |
3.54% |
Bonds non-CHF |
18.40% |
3.10% |
Equity Domestic |
11.60% |
2.84% |
Equity Foreign |
12.60% |
1.12% |
Equity Emerging Markets |
2.10% |
4.564% |
Real Estate |
11.30% |
4.36% |
|
|
|
|
100% |
3.43% |
Assets Breakdown (31.12.2009)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
2.00% |
|
Bonds CHF |
48.50% |
5.88% |
Bonds non-CHF |
11.00% |
2.83% |
Equity Domestic |
14.00% |
|
Equity Foreign |
11.60% |
26.85% |
Equity Emerging Markets |
2.80% |
69.74% |
Real Estate |
10.10% |
|
|
|
|
|
100% |
10.10% |
Assets Breakdown (31.12.2008)
Assets |
Allocation |
Returns |
|
|
|
Liquidity |
1.30% |
|
Bonds CHF |
52.30% |
5.62% |
Bonds non-CHF |
12.00% |
1.10% |
Equity Domestic |
12.40% |
-32.08% |
Equity Foreign |
10.00% |
-44.24% |
Equity Emerging Markets |
1.90% |
-55.98% |
Real Estate |
10.10% |
|
|
|
|
|
100% |
-9.28% |
Investment Managers
Mixed Mandates |
UBS; Credit Suisse |
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