-
Scor seeks outsourcing partner to help with buy-back
27 October 2021Reinsurer also hunting more corporate bonds, as cash burns hole in its pocket
-
CIO interview: Balancing internal and external clients at an insurer's affiliate
20 April 2021SCOR decided to fully centralise the investment process at group level in 2008, and open asset management services to third-party clients in 2011. Francois De Varenne, in charge of today's €20bn investment portfolio, explains the rational around the decision, how it went about building the current structure. Interview by Vincent Huck
-
Scor posts 3.1% Q1 investment result in volatile market
29 April 2020Insurer plans more derisking after healthy investment outcome
-
Scor launches new strategy
04 September 2019Investment arm has been set a return on invested assets target of between 2.4% and 2.9%
-
Scor divests from tobacco
27 April 2017Cash holdings reduced, fixed income duration increased and rebalanced towards corporate bonds
-
Raising the stakes in fund management
07 December 2016Insurer-affiliated managers are punching above their weight in a competitive market, taking more than one-third of all fund managers' new business in the first three quarters. David Walker examines the evolving relationship between insurer-parents, affiliates and independent managers.
-
Scor boosts cash holdings ahead of Brexit
27 July 2016Reinsurer removed exposures to UK, Spanish and Italian financial sectors
-
Scor Global Investments returns 3.1% in first nine months
04 November 2015Decides to increase liquidity further over Q2
-
Scor Global Investments makes good first-half investment return
29 July 2015Achieves 3.4% on invested assets
-
Scor Global Investments produces good Q1 returns
06 May 2015Fixed-income portfolio duration edging up
- 1
- 2