Archive

  • Scor launches strategy to re-risk assets

    07 September 2016

    Will be more flexible in asset allocation

  • Scor boosts cash holdings ahead of Brexit

    27 July 2016

    Reinsurer removed exposures to UK, Spanish and Italian financial sectors

  • Scor continues liquidity drive

    27 April 2016

    Reinsurer almost triples invested portfolio share of liquid assets year-on-year

  • European reinsurers unruffled by Q1 market volatility

    15 April 2016

    Hannover Re, Munich Re, Scor and Swiss Re investment income expected to be "broadly stable"

  • Scor doubles liquidity in response to market distress

    24 February 2016

    Ready to deploy €2bn+ when markets settle down

  • Scor Global Investments returns 3.1% in first nine months

    04 November 2015

    Decides to increase liquidity further over Q2

  • Insurers face up to the asset test of Solvency II

    23 September 2015

    As solvency ratios come under pressure and the introduction of Solvency II with its higher capital charges for some asset classes looms, insurers are taking a hard look at the risk in their asset portfolios, as Sarfraz Thind explains

  • Scor Global Investments makes good first-half investment return

    29 July 2015

    Achieves 3.4% on invested assets

  • Scor Global Investments produces good Q1 returns

    06 May 2015

    Fixed-income portfolio duration edging up

  • Scor cuts liquidity in investment portfolio

    05 March 2015

    Positions investments for decoupling of US and EU cycles