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The lost art of credit analysis in buy and maintain management
As we move into the later stages of the credit cycle, effective risk management within core fixed income portfolios is an increasingly pertinent issue for insurance companies. In our view, it is vital to have an active approach within buy and maintain strategies, to capture upside potential and mitigate downside impact.
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IAR EMEA 2024: Right-wing political parties' victories herald inflationary themes
10 June 2024As Insurance Asset Risk's EMEA 2024 conference audience flags 'climate' as biggest underappreciated risk
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Nippon Life takes solvency hit for boosting investment risk
10 June 2024Investment yield margin improved in the year to March 2024
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Japan's earthquake risk reinsurer buys into social bond
10 June 2024Underwriter now holds 46 social, green and sustainability-linked issues
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Don't expect further ECB rate cuts soon, RLAM says
07 June 2024As the central bank cuts rates for first time in five years
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Alternative asset expansion in Europe's GAs topped core fixed income growth in 2023
07 June 2024Infrastructure funds' 10.3% increase more than tripled core fixed income build-up
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Scottish Widows invests in Zenobē's EV fleet expansion
07 June 2024Follows Aviva's investment in company's electric bus platform
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Investors choose World Oceans Day to call for better ESG data
07 June 2024To help businesses fulfil the goals of the Kunming-Montreal Global Biodiversity Framework
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Comment - Why EIOPA's latest investment statistics have 'something for everyone'
07 June 2024From alts to the core of GAs, and local government debt exposure, everyone had something to cheer about
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Most insurers in-line with SFDR, but some have work to do, EIOPA finds
07 June 2024Set to recommend further SFDR enhancements soon