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Royal London misses with-profits ROI benchmark
19 August 2016Lower investment returns a result of being underweighted in gilts
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QBE extends asset duration amid bond market volatility
18 August 2016Combats low sovereign yields with structured credit, infrastructure debt and corporate bonds
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Quasi-government loans: an elusive illiquid
17 August 2016Supply of much-wanted government-backed loans is short, but the UK's referendum may change that to the benefit of life insurers. Asa Gibson reports.
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Aviva's property fund suspension could last 8 months
12 August 2016Firm cites challenging market conditions as inhibitor to trading
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M&G considers shifting funds from the UK
11 August 2016UK firms' European passporting rights crucial in Brexit negotiations
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P&C insurers first to feel the pinch of negative yielding gilts
11 August 2016Life insurers to hold on to long-dated bonds, despite BoE demand
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BoE presses on with government bond purchases
10 August 2016Will make up for shortfall from botched auction later in the year
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BoE rate cut and QE extension: the industry reacts
04 August 2016Aviva's CEO questions rate cut, analysts expect further QE in 2016
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BoE commits to purchase £10bn of corporate bonds
04 August 2016Expansion of quantitative easing is initial response to Brexit vote
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Brexit hits Hannover Re's equity portfolio
04 August 2016Investment performance generally unhurt with 2.9% ROI