Archive

  • Commodities not suitable for most insurance ALM

    27 May 2022

    Whilst a "core allocation" works for some investors they are too volatile for insurers, says Schroders

  • PGIM launches floating rate income ETF

    27 May 2022

    To provide investors with protection against rising rates

  • Sompo stops investing in new coal plants

    27 May 2022

    Japanese insurer urged to phase out all coal projects from its portfolio

  • Table of the Week- CIOs given deep insight into Chinese firms' ESG activities

    27 May 2022

    New Chinese standards for corporate ESG reporting revealed

  • Guidance for corporate ESG disclosures, China-table

  • Dislocation Opportunities in Emerging-Market Debt

    Russia's invasion of Ukraine has created a tragic humanitarian crisis while roiling financial markets, clouding global growth prospects and intensifying inflationary pressures.

  • PGIM Investments launches ESG short duration multi-sector bond fund

    26 May 2022

    The third ESG mutual fund launched by the manager

  • Investment results dent Australian insurers' Q1 results

    26 May 2022

    Chubb, Allianz and Munich Re among insurers posting sharp income falls

  • US insurers saw biggest gains in private equity in history in 2021

    25 May 2022

    MassMutual leading PE investor, accounting for 25% of new deals

  • Putin rams spanner into 2022's recovery

    25 May 2022

    Late last year Generali predicted that "our social and economic lives will slowly normalise in 2022", and described the threat of stagflation as "overrated". Russia's invasion of Ukraine in February scuppered any chance of that normalisation.