Archive

  • L&G makes second investment in Pemberton direct lending programme

    28 September 2016

    Asset manager plans matching adjustment compliant fund in 2017

  • Why bond market liquidity is back on the worry list

    28 September 2016

    JP Morgan Asset Management's Prashant Sharma and Bryan Wallace on why insurance investors must accept structurally lower liquidity in bond markets, and how they can navigate the new asset landscape.

  • Axa IMRA acquires German retail and hotel development

    28 September 2016

    In line with the firm's "large and high-profile" property strategy

  • Aviva in £187m long-term deal with solar investment firm

    28 September 2016

    Insurer's investment arm agrees two fully amortising 18-year tranches

  • Commission is 'tabooing' sovereign risk, says MEP

    22 September 2016

    Sven Giegold fears treatment of government bonds will be excluded from the 2018 review

  • M&G invests £27.6m in UK build-to-rent scheme

    22 September 2016

    Takes the firm's total residential property investments up to £545m

  • Axa IM acquires $3.78bn Australian real estate firm

    22 September 2016

    Identifies Australia as a core market in its Asian real estate expansion

  • Standard Life Investments plans to reopen £2.9bn property fund

    22 September 2016

    Trading suspension post-Brexit to be lifted in the fourth quarter

  • SLI on course to raise €1bn via third European real estate fund

    21 September 2016

    Investment capacity of €2bn for commercial properties in continental Europe

  • Getting the measure of credit downgrade risk

    21 September 2016

    Investors are questioning the impact of credit downgrades on insurers' Solvency II balance sheets. Hugo Coelho investigates how firms are gauging this risk and why they resist putting a figure on it.