-
Scor divests from tobacco
27 April 2017Cash holdings reduced, fixed income duration increased and rebalanced towards corporate bonds
-
Scor's corporate bond push raises return expectations
22 February 2017Reinsurer confirms no exposure to French government debt
-
Raising the stakes in fund management
07 December 2016Insurer-affiliated managers are punching above their weight in a competitive market, taking more than one-third of all fund managers' new business in the first three quarters. David Walker examines the evolving relationship between insurer-parents, affiliates and independent managers.
-
Going back to normal
28 November 2016Scor Global Investments' chief executive François de Varenne explains to Asa Gibson how the group's asset management policy has moved away from its conservative, post-crisis stance.
-
Insurers overestimate business valuation, Milliman research suggests
26 October 2016Consultancy advocates market-consistent embedded value reporting
-
Scor launches strategy to re-risk assets
07 September 2016Will be more flexible in asset allocation
-
Scor boosts cash holdings ahead of Brexit
27 July 2016Reinsurer removed exposures to UK, Spanish and Italian financial sectors
-
Scor continues liquidity drive
27 April 2016Reinsurer almost triples invested portfolio share of liquid assets year-on-year
-
European reinsurers unruffled by Q1 market volatility
15 April 2016Hannover Re, Munich Re, Scor and Swiss Re investment income expected to be "broadly stable"
-
Scor doubles liquidity in response to market distress
24 February 2016Ready to deploy €2bn+ when markets settle down