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Rescuers of Eurovita divulge details of IVASS' bail-out plan in SFCRs
22 April 2024Lifer faced redemption and solvency pressure before rivals took on assets, and policies
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Chart of the Week: Why Rome should relax its 5% cap on loans and mortgage exposures for insurers
15 March 2024Researcher Agostino Tripodi finds some sub-optimal GA allocation going on, in shadow of local-law limits on L&M holdings
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Unipol posts 3.8% investment return as interest rates rise
19 February 2024Higher rates also spurring plans for significant structural change at Italian group
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Moody's upgrades UnipolSai's outlook from "negative" to "stable"
22 November 2023Change follows similar upgrade of Italian sovereign rating and reduction in exposure to Italian assets
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Fitch hails Generali's move away from Italian govvies
19 September 2023Cites reduced investment concentration risk as factor in increased rating
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UnipolSai unit has one-third of investments in BTPs
24 July 2023And making 2.1% more on investment than life policies promise
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Generali and Unipol assessed for BTP exposure as Italy demoted
01 August 2022S&P Global Ratings has Italy's outlook to stable
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UnipolSai unit taps into banks' bad loan portfolios
08 February 2019Unipol ReC pays €130m for two portfolios worth €1.3bn
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Volatilità spurs Italian insurers to review portfolios
04 September 2018Italy's underwriters long understood their sovereign debt was not riskless. This year's jolts only intensified their search for other investments, as David Walker reports
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Italy debt holdings hit Unipol and Allianz units
31 May 2018Moody's warns of downgrades, but spares more diverse Generali business