Archive

  • Vienna's investment result falls 25% - but COVID-19 not main culprit

    20 May 2020

    Deconsolidating some property primary cause, group says

  • ASR expects investment woes to hit life investment portfolio hardest

    20 May 2020

    Anticipates defaults happening in its real estate portfolio

  • Where is the G in ESG?

    20 May 2020

    In the second piece of this two-part interview, Michael Morosi, global equity manager at Mapfre, unwraps the concept of good governance and how his fund makes investment decisions accordingly. Interview by Vincent Huck

  • Most investment managers foresee slow recovery, CFA survey finds

    19 May 2020

    Of 13,000 respondents, 80% believe recovery will be slow or stagnant

  • Derisking prior to COVID-19 may have helped portfolios

    19 May 2020

    Invesco's study finds cautious investors wound down alternatives allocation last year

  • Japan Post invests AUD 350m in EIB sustainability awareness bond

    19 May 2020

    Proceeds to focus on lending activities to health care sector

  • US insurers grew CLO exposure by 23% in 2019

    19 May 2020

    CLO allocations up to $158bn as COVID-19 exposes market risk

  • Eiopa tells CIOs: return to your seats and fasten your seat belts

    19 May 2020

    Market risk warning turned to red in authority's latest assessment

  • Green bonds resilient in face of weak market

    19 May 2020

    €50bn issued since start of year, on par with 2019, says Axa IM

  • NN IP appoints head of emerging markets debt

    19 May 2020

    Marcin Adamczyk rejoins Dutch affiliate after three years at Poland's PZU