Archive

  • European real estate more prepared for downturn than US, says Fidelity

    24 July 2023

    Asset manager says there is "more pain to come in US real estate"

  • Insurers and asset managers urge halt to deep-sea mining talks

    20 July 2023

    Saying poorly-understood environmental impacts of ocean extraction threaten circular economy and are risk for long-term investors

  • Regulatory intervention still possible as Australian climate reporting unfolds

    12 July 2023

    Taylor Fry warns insurers

  • Chart of the Week - Eurovita's general account over time, % (2017-2021)

    07 July 2023

    SFCRs show the Italian lifer being rescued by five peers, and banks, shunned risk - including heavy BTP weightings - in its GA

  • Mosaic steps up cover for green infrastructure investment in developing world

    28 June 2023

    Lloyd's syndicate manager says move should help governments and financiers alike

  • Fidelity calls on governments to push ahead with ESG regulation

    26 June 2023

    Analyst survey sees companies falling behind on net zero targets and overstating ESG credentials

  • Green shoots appear for biodiversity investing - but is it the natural habitat for insurers?

    26 June 2023

    It seems like it's on everyone's lips, but where should investors start to think about biodiversity, when it comes to investing in positive-impact assets? Josh Adcock asks asset owners and managers where they see opportunities flourishing, and how to weed out the wrong strategies

  • How actuarial best practice would benefit from a more Aboriginal approach

    20 June 2023

    Australian First Nations actuary tells conference Western modes of problem-solving fail to meet today's crises

  • Asset risk now as much a focus of CROs' work as liability risk

    16 June 2023

    Interest rates and liquidity issues top of mind at IAIS meeting

  • Actuaries urged to apply skills to unearth investment greenwashing

    01 June 2023

    International Congress of Actuaries discusses climate scenarios, inter-disciplinary work and portfolio risk management