Archive

  • AIG launches multi-asset index

    24 January 2020

    Index developed by AllianceBernstein exclusively for AIG

  • Aflac ties up with middle market loans manager Varagon

    09 January 2020

    Joins AIG to invest up to $3bn in MM loans

  • Carlyle buys major stake in Fortitude Group from AIG

    26 November 2019

    Alternatives manager retains Fortitude’s outsourced investing

  • AIG hikes credit holdings but warns of low rates' impact on the industry

    04 November 2019

    Customer annuity buying habits is limiting surrender risk, US insurer adds

  • AIG appoints Panagakis to lead First Principles subsidiary

    09 October 2019

    Joins from TIAA Nuveen to oversee $8bn institutional asset manager

  • IAR Americas: CIOs’ views on outsourcing and risk management

    08 October 2019

    As part of a panel discussion at Insurance Asset Risk Americas 2019, four CIOs of insurance companies shared their views on outsourcing and how they see their roles evolving. By Vincent Huck

  • AIG issues $397m RMBS

    03 October 2019

    Deal is second from AIG this year, likely interest from insurers

  • Fossil fuel exclusion proves a slow burn for US insurers

    03 October 2019

    US insurers say they are ready to stop investing in climate-harming coal. But only one has divested from the fossil fuel to date. Could Chubb’s move be the start of a wider transition by US insurers away from fossil fuels or is it empty talk? Sarfraz Thind reports.

  • IAR Americas: CIOs discuss how and where to take smart risks

    01 October 2019

    At the Insurance Asset Risk Americas 2019 conference, four CIOs of insurance companies gave their views on taking smart risks. In the second of a two-part series, they discuss the processes they use and how they characterise their alternative portfolios. Compiled by Vincent Huck

  • IAR Americas: Are we in an atypical credit cycle?

    25 September 2019

    At the Insurance Asset Risk Americas 2019 conference, four CIOs of insurance companies gave their views on taking smart risks. In the first of a two-part series, they discuss the nature of the current credit cycle and where they find relative value. Compiled by Vincent Huck