Archive

  • Federal Reserve warns of heightened corporate credit risk

    08 May 2019

    Fed’s Financial Stability Report reiterates risk of corporate bonds, loans and CLOs

  • Manulife brings asset management activities under global brand

    08 May 2019

    Manulife Investment Management to manage combined $837bn of institutional, retail and retirement assets

  • KLP fully divests from coal

    08 May 2019

    $370m of investments excluded as part of new coal policy

  • Folksam Life cuts carbon footprint of equities holdings by a fifth

    08 May 2019

    Swedish insurer reduces exposure to carbon heavy industries as it halves the number of companies it holds shares in

  • Axa and WWF call on G7 to act on biodiversity

    08 May 2019

    In a report the insurer and the NGO suggest financial institutions could measure the impacts of their portfolios on nature

  • BaFin's Solvency II review wish-list

    08 May 2019

    Negative rate modelling and investment relief for life insurers top regulator's list

  • Aviva France’s diversification journey

    07 May 2019

    Chief investment officer Philippe Taffin explains the evolution of his firm’s investment portfolio over the last six years, the relationship between the different Aviva subsidiaries and why he believes there should be a Solvency II treatment of ESG risk. Interview by Vincent Huck

  • IASB proposes IFRS 9 change in light of Ibor reform

    07 May 2019

    Standard setter proposed amendments to provide relief from specific hedge accounting requirements

  • M&G appoints manager for £567.9m UK fund

    07 May 2019

    Rory Alexander promoted to the role

  • Investment income propels AIG Europe to pre-tax profit

    03 May 2019

    Investment gains in 2018 offset underwriting loss