Archive

  • Aviva Investors poaches M&G's fund expert

    11 January 2017

    Kris McPhail recruited for its Lime property fund

  • Aviva and LaSalle in €128m joint venture

    09 January 2017

    Insurer expands European property portfolio with office in Paris, targets €1bn AuM

  • The 2017 investment agenda

    30 December 2016

    With 2016 drawing to a close, investors on behalf of insurers can look back on what was a particularly challenging year. They will be keen to steady the ship and step up investment performance in 2017. Asa Gibson reports

  • What are the ESG alternatives to renewables and divestment?

    14 December 2016

    Hot on the heels of the FSB's guide to incorporating climate risks in investment decisions, Environmental Finance's Peter Cripps examines some of the alternative strategies being executed by insurers to reduce their exposures to risks stemming from climate change.

  • Insurers back FSB's climate risk reporting recommendations

    14 December 2016

    Disclosure should be mandatory, says Aviva's chief executive

  • Investing in a changing climate

    12 December 2016

    The response by insurers' investment operations to climate change has been branded embarrassing. Environmental Finance's Peter Cripps investigates what the industry can do on the asset side of the balance sheet to mitigate climate change risks in the first of a two-part analysis.

  • Industry turns up the heat on MA reform

    05 December 2016

    The industry's opportunity to recommend changes to EU regulation in a post-Brexit world has delivered a comprehensive criticism of the MA. David Walker and Asa Gibson report.

  • Aviva to reopen UK property fund after Brexit panic subsides

    23 November 2016

    Firm sold 11 properties to restore liquidity

  • Aviva calls on authorities to "play ball" on infrastructure charges

    07 November 2016

    UK insurer reveals plans to invest £10bn in asset class

  • Aviva flags 10 coal companies for divestment

    07 November 2016

    Asian firms earmarked for potential divestment after failure to engage