Archive

  • MS&AD total investment assets rise but net assets take a fall

    22 May 2020

    Difference caused by unrealised losses on securities

  • Uniqa reports 11.7% investment income fall

    22 May 2020

    But drop was stemmed by favourable exchange rates in its international business

  • Generali reveals impact on solvency if Italian debt gets downgraded

    22 May 2020

    Analysts question Generali on validity of sensitivities to market shocks

  • Investments to cause more damage than liabilities over next year, says S&P

    21 May 2020

    Maintains stable outlook on most rated insurers in EMEA

  • Only 5% of Aviva's corporate bonds invested in sectors hit by COVID-19

    21 May 2020

    UK insurer reports less than $10m of bonds downgraded to below IG in Q1

  • Investment impairments take shine off Generali Q1 result

    21 May 2020

    Italian's net profits slump 84%

  • Folksam Group invests SEK 2.5bn in green bond

    20 May 2020

    Takes its total of investments in asset class to SEK 30bn

  • Vienna's investment result falls 25% - but COVID-19 not main culprit

    20 May 2020

    Deconsolidating some property primary cause, group says

  • ASR expects investment woes to hit life investment portfolio hardest

    20 May 2020

    Anticipates defaults happening in its real estate portfolio

  • Where is the G in ESG?

    20 May 2020

    In the second piece of this two-part interview, Michael Morosi, global equity manager at Mapfre, unwraps the concept of good governance and how his fund makes investment decisions accordingly. Interview by Vincent Huck

Cookies on Insurance Asset Risk

This site uses cookies. By continuing to browse the site you are agreeing to our use of cookies. Find out more here