-
Axa IMRA invests in two Australian hospitals
04 September 2019Investment made as part of a joint venture with Grosvenor Group and Centuria Heathley
-
Scor launches new strategy
04 September 2019Investment arm has been set a return on invested assets target of between 2.4% and 2.9%
-
Convex Group appoints investment accounting and reporting provider
04 September 2019Clearwater Analytics will provide its cloud-based services to the insurance group
-
Investors overlooking the 'S' and 'G' of ESG, NN IP says
03 September 2019Survey finds investors see more potential for returns in environmental factors than in social and governance ones
-
Reinsurers increasingly exposed to asset risk, but liability risk still the main focus
03 September 2019Rating agencies Moody’s and S&P Global have published their 2020 reinsurance outlook noting slight changes in investment risk appetite. Though marginal at this stage, the change could become significant in five to 10 years’ time. David Walker and Vincent Huck report
-
Columbia Threadneedle deputy CIO steps down
03 September 2019William Davies, global head of equities, to replace Mark Burges as CIO for EMEA
-
In the face of negative yields, lower credit quality or diversify?
02 September 2019Scor IP's CIO, Rossary, makes the case for infrastructure debt as a good diversifier.
-
Anbang Asset Management becomes Dajia Asset Management
30 August 2019Dajia sets up four units to take over Anbang’s assets
-
LGIM Real Assets invests £57m in UK solar portfolios
30 August 2019Transaction is the latest in a series of renewable energy investments
-
Insurers get defensive in the face of Brexit fears
29 August 2019In the three years since the UK voted to leave the European Union, the emotional pendulum has swung from hope to despair – regardless of where one stands on the issue – making fertile ground for comments. But what do the numbers say when looking at insurers' asset allocation in the years since the referendum? Vincent Huck reports.