Archive

  • The investment case for private credit and CLOs for Asian insurers

    29 August 2024

    On the back of new regulatory regimes

  • A sense of doom and gloom greeted the arrival of 2023, but was it really as bad as expected?

    01 January 2024

    Fixed income and sub-investment grade investments were key trends in a year that was not exactly benign

  • Resilience of private credit set to continue into 2024, PineBridge says

    28 December 2023

    Insurers will continue to benefit from bank withdrawals

  • Comment: Achieving above-benchmark returns through capital-efficient emerging market debt

    31 March 2023

    By Vladimir Zdorovenin, Head of Insurance Solutions EMEA & Japan, PineBridge Investments

  • PineBridge appoints head of insurance solutions for EMEA

    08 April 2022

    Vladimir Zdorovenin takes on the newly created role joining from Apollo

  • Tips for insurers and asset managers in 2018

    29 December 2017

    In the second part of this 2018 investment outlook, stakeholders share their views on the negotiating rising rates, inflation and what asset managers should be doing to help insurers. Sarfraz Thind reports

  • A look back and forward

    27 December 2017

    The current year was relatively benign for the insurance investment industry. But 2018 holds new challenges. What risks and what opportunities should investors be looking at in the coming year? Sarfraz Thind reports

  • Stress test or eventuality: it's time to respond

    31 January 2017

    European life insurers should reassess their investment strategies in light of Eiopa's latest stress test, which exposed vulnerabilities to a plausible 'low-for-long' interest rate environment, writes JP Morgan Asset Management's Vladimir Zdorovenin.