Rob Leeming

Articles by Rob Leeming

  • Diversification of asset classes to continue in 2025, PGIM CEO says

    13 December 2024

    Idiosyncratic risk becoming greater concern to CIOs than business cycle risk

  • Does a litigious society pose a greater risk to insurers than global warming?

    12 December 2024

    Insurance Asset Risk recently sat down with Chin Liu, director of insurance-linked securities (ILS), fixed income solutions and responsible investment research at Amundi US to discuss why ILS can be a good investment for life insurers and why eagle-eyed lawyers can pose a bigger risk to insurers than climate change.

  • NAIC's deactivation order could hit private credit investments, Willkie says

    12 December 2024

    Privately rated securities issued after 1 January 2022 targeted

  • Blackstone to keep Resolution Life mandate post Nippon Life acquisition

    11 December 2024

    Japanese insurer acquires Resolution in $8.2bn deal

  • DWS reaches €323m first close of ESG infrastructure debt strategy

    11 December 2024

    Will invest in senior infrastructure debt

  • AB appoints head of insurance EMEA and APAC from Wellington Management

    10 December 2024

    Bob Sharma joins after 20 years at Wellington

  • Generali Investments appoints chief of investments

    10 December 2024

    Filippo Casagrande takes on role

  • CIO Interview: Conning worried the Fed is not paying enough attention to inflation

    09 December 2024

    Insurance Asset Risk sat down with Cindy Beaulieu, Conning's CIO for North America, to discuss the recent presidential election, the effect a second Trump administration could have on insurers, and the prospects for asset classes and investment risk in 2025.

  • Mapfre AM to unify investment process for public and private assets

    06 December 2024

    Latest step in firm's digital transformation process

  • Disorderly climate transition could cut insurer investment returns by 23% by 2050, Ortec Finance finds

    05 December 2024

    Severe physical risks could slash real estate and equity portfolio returns by more than 50% by 2050