Strategic real estate allocation in uncertain markets:
Liz Gorgoglione, Credit Risk Director, Legal and General Retirement America, gives her view on when/if the tide will turn in the markets and how investors can prepare for it.
AI bubble burst to hit fixed income?
Federal Reserve survey: policy uncertainty is the biggest US risk
What are the trends to watch in private credit?
Could UK risk management be hampered by overreliance on AI to solve issues?
Insurance outlook: Managing change is business as usual
In today's fast-changing world, insurance companies require agility and effective risk management to navigate economic fluctuations.
Why insurers can’t avoid Europe’s green energy boom
“Is this the good place?” – Benelux investors see macro trends heading toward the...
Strategic fixed income opportunities for insurers in public markets
What did the 2025 UK budget include?
Solvency II changes could enable more investment risk from insurers
Fitch Ratings warns proposed changes to Solvency II could be ‘credit negative’ for insurers.
New Q3 results highlight interest rate falls and alternative investments
Insurance industry continues to post positive results
Progressive sees stock market price slide on missed marks
What will rising UK inflation mean for investors?
Strategic real estate allocation in uncertain markets:
AI bubble burst to hit fixed income?
Federal Reserve survey: policy uncertainty is the biggest US risk
What are the trends to watch in private credit?
Could UK risk management be hampered by overreliance on AI to solve issues?
Economic risks compounding and making resilience more necessary
Global nat cat costs light in Q3
Macroeconomic conditions still driving pension risk transfer