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Investment team of the year - Asset Manager: AllianceBernstein
AllianceBernstein's (AB) insurance portfolio management team secured Investment team of the year by delivering strong, liability-aware results despite market volatility,...
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Alternatives manager of the year: Hamilton Lane
Hamilton Lane's recognition as Insurance Asset Risk's Alternatives manager of the year reflects the company's scale, innovation, and impact.
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Climate risk initiative of the year: Stonebridge Financial
Stonebridge Financial's recognition as Climate risk initiative of the year reflects its innovation, measurable impact, and commitment to advancing the energy transition.
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Emerging markets manager of the year: Loomis Sayles
Loomis Sayles earned the Insurance Asset Risk Emerging Markets Manager of the Year award by combining innovation and strong investment expertise in emerging market debt.
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Equity manager of the year: First Eagle Investments
First Eagle Investments won Equity manager of the year for its disciplined, resilient, and differentiated global value strategy.
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Fixed income manager of the year: Conning
Conning was named Fixed income manager of the year for its ability to combine asset management with tailored investment solutions.
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Investment strategy consultant of the year: Mercer
Advising on $1.5trn globally, Mercer's 52-person insurance team delivers advisory work across asset allocation, governance and risk management, investment implementation, operational Implementation, private markets, and sustainability strategies...
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CIO of the year (editorial pick): Chris Hogan (Chubb)
In awarding Chris Hogan Insurance Asset Risk's CIO of the Year award, it goes to 'new hands' - in May, he replaced Chubb's Tim Boroughs, upon the long-standing incumbent's promotion to vice chairman and executive chairman, asset management.
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Private debt manager of the year: MetLife Investment Management
MetLife Investment Management (MIM) was named Private debt manager of the year for its scale, insurer-first structuring, and resilience through economic cycles.
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Real asset manager of the year: Invesco
Invesco continues to innovate - closing its inaugural $1.2bn managed CRE CLO in 2025, secured by a US portfolio consisting of approximately 55% multifamily and 45% industrial loans.
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Structured debt manager of the year: Wellington Management
Wellington Management earned Structured debt manager of the year for its scale, innovation, and insurer-focused customisation in securitized investing.
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Insurance asset risk technology provider of the year: Counterpart Agentic Insurance
Counterpart earned recognition as Technology provider of the year by pioneering the first Agentic Insurance platform, blending insurance expertise with applied AI.
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Responsible investor of the year: Stonebridge Financial
Stonebridge Financial won Insurance Asset Risk's Responsible Investor of the Year award on the back of 25 years of pioneering sustainable finance.