Archive

  • Chart of the week: IFRS 9 classification conundrum in APAC

    14 April 2023

    As IFRS 17 and 9 tops Asian insurers' priority lists, according to Abrdn survey

  • PIC's TCFD shows involvement of asset managers in ESG strategy

    13 April 2023

    Insurer broke its own fossil fuel rules to stay invested in Anglo American debt

  • PIMCO completes redevelopment of Milan hotel for Allianz

    13 April 2023

    Achieving both CRREM compliance and LEED Gold-certification

  • Legal & General Capital invests £15m in housing decarbonisation companies

    13 April 2023

    Including three new companies and an increased stake in Sero Technologies

  • Barings closes $680m real estate innovation fund

    13 April 2023

    Subscribers include insurers

  • Current banking crisis caused by an ALM mismatch--but not for insurers

    13 April 2023

    Insurers like AIG have been oversold, according to Oakmark Global

  • LDI turmoil "challenged clients' ability to provide additional cash" to LDI funds, L&G unit says

    13 April 2023

    Urgent LDI fund cash calls exceeded internal liquidity buffers, L&G Assurance Pensions Management says

  • Lloyd's Investment Platform launches Private Impact Fund

    12 April 2023

    With £250m initial allocation for sustainability-focused assets

  • R+V joins up to NZAOA

    12 April 2023

    Already signatory to UN Principles for Responsible Investment

  • CIOs face up to 'the day after the night before'

    12 April 2023

    The prolonged low-rates environment meant good times for real assets, and those borrowing to buy them. But as David Walker discovers, even good times must end