News

  • Belgian regulator quantifies effect of inflation-related investments on solvency ratio

    28 June 2022

    Linkers and inflation hedges did heavy lifting in recent inflationary bout

  • NAIC report highlights manifold risks for insurers in 2022

    27 June 2022

    Inflation, recession, war, supply chain disruptions... the list goes on

  • Phoenix Group invests £90m in UK affordable homes

    27 June 2022

    Bringing the insurer's UK social housing holdings to £2.5bn

  • Tokio Marine confirms investor status by Q1 risk budget breakdown

    27 June 2022

    Asset management risk now represents 67% of total risks

  • MetLife originated $6bn in green investments in 2021

    24 June 2022

    Grows responsible investment portfolio to $82bn

  • Index IQ launches first 'semi-transparent' ETF

    24 June 2022

    Managed by growth equity investment firm Winslow Capital Management

  • Nippon Life invests ¥20bn in Japanese climate transition strategy fund

    24 June 2022

    The fund is managed by the Nissay Asset Management

  • Cincinnati Financial appoints Steven Soloria to head of investments

    24 June 2022

    Replaces retiring Martin Hollenbeck who quits after 14 years in role

  • Viridium adds €21bn assets in Zurich German life book deal

    24 June 2022

    Zurich will add 8 points to its Swiss Solvency Test ratio

  • Moody's spells out illiquid investment exposure of UK insurers

    24 June 2022

    Allocations will grow to underpin more bulk purchase annuity work, ratings agency predicts