Archive

  • Brexit credit spread widening biggest threat to UK insurer balance sheets

    28 June 2016

    Spread widening and rating migration increasing pressure

  • L&G reduced asset risk in run up to referendum

    28 June 2016

    Solvency ratio falls to 156% from 169% at end-2015

  • Brexit leaves insurers facing an uncertain investment future

    27 June 2016

    Most UK insurers hedged against risks, which should reduce impact

  • Safe haven bond markets tighten on Brexit vote as peripherals widen

    24 June 2016

    German 10-year bund at new record low

  • Brexit will see rates cut to zero but recession inevitable, says Nomura

    24 June 2016

    Could see negative yields in UK next year