Archive

  • Chart of the Week: Why Rome should relax its 5% cap on loans and mortgage exposures for insurers

    15 March 2024

    Researcher Agostino Tripodi finds some sub-optimal GA allocation going on, in shadow of local-law limits on L&M holdings

  • Investment volatility and rising rates will keep lapse risk high in 2023, expect Italy's lifers

    05 May 2023

    Latest solvency reports described ways they combatted surrender risk in 2022

  • Generali earns Moody's upgrade as BTP exposure falls

    09 May 2022

    But shareholder divisions earn a warning as governance risk grows

  • Generali not talking M&A with us, says GAM

    08 October 2019

    Swiss fund denies being target for splurging Italian insurer

  • European Insurers’ favour affiliates as manager of choice

    18 June 2019

    Analysis of 200 European underwriters’ SFCRs by Insurance Risk Data reveals

  • Lack of uniformity in sensitivity analysis raises questions

    14 March 2019

    While some insurers prepare for full force hurricanes, others get ready for light showers. Insurance Risk Data reveals the extend of diversity in the stress test, and why it might be of concern. David Walker reports

  • Generali pursuing insurer mandates

    21 November 2018

    Italian asset manager to target insurers assets with expectation of doubling profits by 2021

  • Generali pension pot to boost AuM

    16 November 2018

    General Global Pension will provide added capital for asset managers to invest

  • Boutique asset managers outperform non-boutiques by 16%

    02 November 2018

    Institutional investors would record greater returns if they gave mandates to smaller asset managers, latest research highlights

  • Generali and DWS expand unit-linked relationship

    24 October 2018

    As part of ongoing asset management strategy to partner with multiple boutique firms focusing on specific markets