Archive

  • Going back to normal

    28 November 2016

    Scor Global Investments' chief executive François de Varenne explains to Asa Gibson how the group's asset management policy has moved away from its conservative, post-crisis stance.

  • Construction-only guarantees could boost UK infra opportunities

    28 November 2016

    Autumn Statement signals investment opportunities for UK insurers, says EY's Gareth Mee

  • Aviva to reopen UK property fund after Brexit panic subsides

    23 November 2016

    Firm sold 11 properties to restore liquidity

  • FCA flags concerns over asset managers' risk management practices

    23 November 2016

    Governance and risk culture main concern, says KMPG and ORIC report

  • Axa IMRA goes ahead with London's 22 Bishopsgate

    27 October 2016

    Construction will continue despite Brexit uncertainties

  • Negative equity threatens lifetime mortgage assets

    26 October 2016

    The potential for falling house prices after Brexit threatens the stability of lifetime mortgage returns. Firms are modelling worst case scenarios and testing the limits of an otherwise attractive asset. Callum Tanner reports.

  • "Futile" UK interest rate cut expected in December

    26 October 2016

    Sterling's fall will have deflationary effect, predicts Fathom Consulting

  • Ethias closes duration gap after interest rates shock

    26 October 2016

    Actions include selling ABS and switching mortgages from floating to fixed rate

  • Gilt investors must "think short or think global" as inflation looms

    14 October 2016

    High inflation on the cards, owing to falling pound and soaring oil prices

  • JRP Group bullish on lifetime mortgages despite Brexit

    05 October 2016

    Negative equity risk impact limited with attractive returns around 5%

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