Archive

  • Scor launches strategy to re-risk assets

    07 September 2016

    Will be more flexible in asset allocation

  • Industry backs delay in derivatives clearing for small firms

    05 September 2016

    Insurers may reduce hedging to avoid compliance burden, warns Insurance Europe

  • US high yield bonds almost in 'goldilocks zone'

    01 September 2016

    Near-perfect economic conditions for higher yielding assets

  • Insurers chime in on fossil fuel subsidies

    30 August 2016

    Aviva CEO warns climate change is the "mother of all risks"

  • One-third of UK insurers 'would have been better off investing in cash'

    30 August 2016

    Willis Towers Watson study finds 2015 investment returns below average six-month LIBOR return

  • Baloise goes stateside in yield hunt

    30 August 2016

    Investment chief grumbles over central banks' bond-buying programmes

  • Low bond yields are creating systemic risk

    26 August 2016

    PGIM chief warns of global financial policy impacts

  • Uniqa's net investment income falls 25%

    25 August 2016

    Insurer blames negative FX effects

  • ASR up on sovereigns, down on equities

    24 August 2016

    Shrinking market risk budget and prompt reallocation

  • Pimco favours credit and real assets during economic stability

    24 August 2016

    Long-term economic uncertainty to be preceded by a period of calm in the markets