Multi-asset credit investing in volatile times: Low rates and ESG
In the third part of this Insurance Asset Risk / CSAM roundtable, insurers discuss their views on low rates, the influence of RBC on credit investing and how they are looking to integrate environmental, social and governance factors into their investments.
Multi-asset credit investing in volatile times part 2: Credit markets and the Fed support
In the second part of this Insurance Asset Risk / CSAM roundtable, insurers talk about how the support by financial authorities to prop up credit markets has created opportunities...and risks.
Multi-asset credit investing in volatile times
In the first part of this Insurance Asset Risk / CSAM roundtable, insurers discuss their views on the impact of COVID-19 on credit markets and their use of ETFs
Most Read
- PIC completes £6.6m buy-in with Primula pension scheme
- Outsourcing RT series: Part IV, The future for outsourcing
- Geopolitical hotseat: The same pace of drama can't continue for rest of year, Conning CIO says
- Fubon Life picks Iconiq Strategic Management as VC tech outsourcing partner
- Schroders Greencoat signs MoU with China-based battery-maker for European platform
- Conning CIO says Fed independence intact as Trump names nominee for Fed chair
- Cathay Life invests $50m in KKR infrastructure fund
- It's still early innings for Alt IM-owned insurers - what's their play?
- Fitch predicts cull of investment risk in South Korea ahead of core ratio proposed from 2027
- Leverage and liquidity in private markets: The new frontier for evergreen funds