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JAL Pension Fund
JAL Pension Fund was established to oversee retirement assets for Japan Airlines Co., Ltd. employees. The fund follows a fundamental policy on pension asset...
JAL Pension Fund
JAL Pension Fund was established to oversee retirement assets for Japan Airlines Co., Ltd. employees. The fund follows a fundamental policy on pension asset management and a basic asset allocation plan. The portfolio includes public equities, fixed income, and alternative assets. Confirmed holdings cover infrastructure funds, private equity funds, and real estate funds on a global basis. The fund also owns Unit K Howland Road Business Park, an industrial property in Thame, Oxfordshire, United Kingdom. Allocations extend to at least two additional regions outside Japan. The fund reported $2.16 billion in assets. It works with custodians Mitsubishi UFJ Trust and Banking Corporation, Mizuho Trust & Banking Co., Ltd., and Nomura Trust and Banking Co., Ltd. May 2024: Attended Responsible Investor Japan 2024 in Tokyo. The fund operates as the corporate pension vehicle sponsored by Japan Airlines. Governance ties remain direct to the airline's finance function through the Pension Investment Director role.
General information
Firm type
Pension Fund
Year founded
2004
Location
Region
Asia
Country
Japan
City
Tokyo
Sector focus
Frequently asked questions
Who sponsors JAL Pension Fund?
Japan Airlines Co., Ltd. sponsors the fund as its corporate pension vehicle.
What asset classes does JAL Pension Fund hold?
The fund allocates across public equities, fixed income, infrastructure, private equity, and real estate.
Does JAL Pension Fund invest outside Japan?
Yes. Holdings include a UK industrial property and global infrastructure, private equity, and real estate funds.
Which service providers support JAL Pension Fund?
Mitsubishi UFJ Trust and Banking Corporation acts as custodian. Mizuho Trust & Banking and Nomura Trust and Banking serve as trustees.
What ESG commitments has JAL Pension Fund made?
The fund is a signatory to Japan's Stewardship Code and integrates ESG factors into investment decisions.
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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