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Falling interest rates threaten French life insurers' solvency
10 October 2019Moody's warns of pressure on profits and regulator's scrutiny if the trend continues
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Sustainability and Solvency II: Is the frog dead yet?
10 October 2019If the planet is a frog in a saucepan heated by the market, at the moment we are only taking the temperature and not reducing the heat, according to Steve Waygood, chief responsible investment officer, and Ben Carr, analytics and capital modelling director, at Aviva Investors. Interview by Vincent Huck
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Hard Brexit main worry for Allianz GI CEO
09 October 2019“Irrational” moves by Brexit negotiators mean strong possibility of hard Brexit, says Utermann
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AIG appoints Panagakis to lead First Principles subsidiary
09 October 2019Joins from TIAA Nuveen to oversee $8bn institutional asset manager
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Axa IM appoints senior leadership in core investments team
09 October 2019Core investments brings together fixed income, multi-asset and actively managed equities divisions
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Ping An’s asset manager to launch green bond fund
09 October 2019Fund will give exposure to Chinese market
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Generali not talking M&A with us, says GAM
08 October 2019Swiss fund denies being target for splurging Italian insurer
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PGIM launches high yield bond fund
08 October 2019No expectations for recession in near-term, says fund manager
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IAR Americas: CIOs’ views on outsourcing and risk management
08 October 2019As 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
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The insurer investment management insights - October 2019
Interest rates have fallen to historic lows. Volatility within equity markets has risen. And geopolitical risk continues to be the catalyst for global market sentiment. So, how should insurers adapt their investment strategies to overcome these challenges, particularly in the face of tougher regulation?