Vincent Huck

Articles by Vincent Huck

  • Hong Kong self-regulatory regime to end in September

    15 May 2019

    The Insurance Authority will take over direct regulation of insurance intermediaries

  • Mohamed El-Erian on the US yield curve, Europe’s sluggish growth and Brexit

    15 May 2019

    Allianz chief economist delivers keynote speech at CFA Institute annual conference

  • Fidelity’s Anne Richards calls for action before the revolution

    14 May 2019

    The CEO urges the asset management industry to mould the future before it is shaped for them

  • Solvency II doesn't recognise insurers as long-term investors, Axa non-exec director says

    14 May 2019

    Angelien Kemna criticises negative effect of EU regulation at CFA conference

  • CFA UK launches ESG certificate

    14 May 2019

    As reported by Insurance Asset Risk in September 2018

  • Where art thou risk?

    10 May 2019

    Investment leaders to discuss investment strategy in the context of emerging risk at Insurance Asset Risk EMEA 2019

  • Insurers deterred by African fixed income’s perceived risk, despite huge potential

    09 May 2019

    Government policies and liquidity major hurdles for foreign investors

  • KLP fully divests from coal

    08 May 2019

    $370m of investments excluded as part of new coal policy

  • BaFin's Solvency II review wish-list

    08 May 2019

    Negative rate modelling and investment relief for life insurers top regulator's list

  • Aviva France’s diversification journey

    07 May 2019

    Chief investment officer Philippe Taffin explains the evolution of his firm’s investment portfolio over the last six years, the relationship between the different Aviva subsidiaries and why he believes there should be a Solvency II treatment of ESG risk. Interview by Vincent Huck