News

  • Storebrand AM to exclude coal and oil company investments

    24 August 2020

    Outlines plans as part of new climate policy to accelerate green transition

  • IAR Americas - CIO panel: navigating the crisis

    21 August 2020

    Nick Martowski, CIO at MagMutual, speaks to IAR ahead of September event

  • Austria's Uniqa suffers 29% fall in half-year investment result

    21 August 2020

    Russian unit stands out, in profitable investment figure from international division

  • AIA avoids impairments on bonds in H1

    21 August 2020

    Minimal number of fallen angels in bond portfolio

  • Suncorp to pull out of oil, gas and coal

    21 August 2020

    Insurer asks outsourced managers to price carbon into investment choices

  • Italy's insurers rack up paper gains as debt markets recover

    21 August 2020

    Most of €62bn of uncrystallised investment gains at life firms

  • Climate - the USA may bear a huge responsibility in collective failure, Scor's Lacroix says

    20 August 2020

    Scor's head of group investment risk & sustainability to speak at IAR Americas

  • L&G promotes Rob Codling to head £3.2bn property fund

    20 August 2020

    Aims to diversify portfolio in alternatives and operational assets

  • Trump US election win best scenario for investors

    20 August 2020

    Looming election driving stock market surge, says Conning's Sega

  • AIA posts 4.4% fixed income yield in H1

    20 August 2020

    Group reveals make-up of Chinese investment portfolio