Archive

  • Royal London misses with-profits ROI benchmark

    19 August 2016

    Lower investment returns a result of being underweighted in gilts

  • NN Group ramps up allocation to mortgage loans

    18 August 2016

    Realised gains on sovereign bond portfolio to take more credit risk

  • QBE extends asset duration amid bond market volatility

    18 August 2016

    Combats low sovereign yields with structured credit, infrastructure debt and corporate bonds

  • Quasi-government loans: an elusive illiquid

    17 August 2016

    Supply of much-wanted government-backed loans is short, but the UK's referendum may change that to the benefit of life insurers. Asa Gibson reports.

  • Delta Lloyd sheds a third of equity portfolio

    17 August 2016

    Cash holdings more than double

  • L&G in $660m University of California expansion project

    17 August 2016

    Deal will provide long-term returns to match pension liabilities

  • Zurich wants $2bn in green bonds

    16 August 2016

    Head of responsible investment pushes for sovereign green bonds

  • Absolute return funds included in FCA's market review

    15 August 2016

    Final report expected in 2017

  • Aviva's property fund suspension could last 8 months

    12 August 2016

    Firm cites challenging market conditions as inhibitor to trading

  • M&G considers shifting funds from the UK

    11 August 2016

    UK firms' European passporting rights crucial in Brexit negotiations