RISK

 

Investment and asset risk management, along with liability modelling related to investment activity, is unique for insurers, underpinned as it is by stringent regulatory regimes, demanding portfolio risk policies, evolving reporting procedures, and analytical solutions. Here we provide insight and expert perspectives on how those responsible for asset risk management and liability modelling are meeting existing and emerging demands on their organisations

Showing 132 of 179 articles
How to deal with accounting and reporting challenges in distressed investing
  • Thursday, Apr 22, 2021

Eddy Verbiest, former Assets & Liabilities Manager at Fidea explains how to establish currency hedging tools and deal with the accounting and reporting challenges in distressed investing.

Risk insight: "Do not mistake a pandemic recovery with a structural one"
  • Wednesday, Apr 07, 2021

Jérôme Haegeli, Group Chief Economist at Swiss Re, explans how China could lead the economic recovery and why inflation risks are rising.

How QIC Global is managing diversity amid changing investment dynamics
  • Friday, Feb 26, 2021

Ankit Shah, Head of Investments and Treasury at QIC Global shares how the insurer is assessing risks and branching out into new geographies.

Why IFRS 9 could threaten diversity for insurance investors
  • Thursday, Feb 18, 2021

Matteo Riccardi, Chief Investment Officer at Bipiemme Vita explores why IFRS 9 could mean more volatility on insurance balance sheets.

Of all the challenges facing insurers, the greatest is persistent low interest rates
  • Monday, Feb 01, 2021

Anthony V. Minopoli, Chief Investment Officer, shares how Knights of Columbus is tackling the thorny issue of low interest rates.

How volatility is changing the balance between risk and reward
  • Saturday, Jan 30, 2021

Daniel Blamont, Head of Investment Strategy at Phoenix Group shares the biggest risks on the horizon and how they are impacting asset allocation.

Insurance investors must prepare for a toughening regulatory landscape
  • Monday, Jan 18, 2021

Francesco Martorana, CEO, Generali Insurance Asset Management, explores some of the key investment risks for insurers including.

How to spot a market bubble
  • Wednesday, Jan 13, 2021

Matteo Riccardi, Chief Investment Officer at Bipiemme Vita, explains why he doesn't believe insurers are facing a technology bubble.

The biggest challenges facing institutional investors in 2021
  • Monday, Jan 04, 2021

Francesco Martorana, CEO, Generali Insurance Asset Management explores some of the key investment risks for insurers.

What does the Covid-19 vaccine announcement mean for the global economy
  • Monday, Nov 23, 2020

Jérôme Haegeli, Group Chief Economist at the Swiss Re Institute explores the impacts of a coronavirus vaccine for insurance investors.

Why insurers should invest in pools of residential mortgages
  • Tuesday, Nov 10, 2020

Russell Lee, from M&G Investments, discusses the benefits of a strategic allocation to residential mortgages and consumer loans.