Archive

  • Talanx reveals extent and make-up of non-euro fixed income holdings

    06 May 2021

    German groups cuts spread sensitivity through high-grade holdings

  • Biden's tax hike to offer silver lining for muni bonds

    06 May 2021

    P&C insurers will profit from proposal according to Conning

  • Liquidity in the age of COVID

    06 May 2021

    'What's our liquidity' was one of the biggest questions for insurers in Q1 2020. One year on, two insurers reflect on the steps their firms took to answer it, ensure liquidity was available, and how they approach it today as a result. Vincent Huck reports

  • Europe's general account extends growth streak to Q4 2020

    06 May 2021

    Infrastructure and property funds only expanded in 2020, EIOPA figures show

  • Michele Gaffo to leave DWS

    05 May 2021

    Former Poste Vita CIO joins private credit specialist HPS Investment Partners

  • News round-up - 05 May 2021

    05 May 2021

    PGIM; Axa IM; MEAG; M&G; Manulife IM

  • PGIM Real Estate acquires Tokyo office building

    05 May 2021
  • AXA IM Alts acquires Berlin office block from drug company

    05 May 2021
  • Investor pressure the catalyst for reinsurers' ESG focus

    05 May 2021

    Companies are being faced down by largest investors in world, says AM Best

  • Why are Insurers Allocating to Emerging Market Debt?

    The risk and return opportunity set currently offered by emerging market (EM) debt allocations, particularly EM corporates, continues to draw insurers' attention. Read on to learn why.