Archive

  • Aviva Investors bolsters multi-asset team

    21 October 2025

    Sahil Shaikh joins as multi-asset portfolio manager

  • Aviva Investors adds to global equities team

    04 September 2025

    Nicholette MacDonald-Brown joins from Lombard Odier Investment Management

  • SFCR 2025 - How private assets are 'having a moment' with Benelux CIOs

    03 July 2025

    Solvency filings of Benelux insurers show a distinct liking among CIOs for directly-originated asset classes

  • COTW - Round the World with SFCRs - Benelux insurers praise outsourcing partners

    05 July 2024

    As Benelux CIOs generally got better news in 2023 and 2022, back-slapping for mandate managers seemed the order of the day

  • Aviva Investors appoints senior economist and strategist

    04 January 2024

    Vasileios Gkionakis joins from Citigroup

  • LGIM poaches Lombard's insurance chief

    20 January 2017

    Mehdi Guissi takes up newly created role as head of European bespoke solutions

  • Convertible bonds shine brighter under Solvency II

    22 March 2016

    Finding the sweet spot between the yield of an asset and its capital charge has become a core consideration for EU insurers. Convertible bonds may represent a golden opportunity, as Benedicte Gravrand reports