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 66 of 163 articles
How investors can protect portfolios from inflation in 2023
  • Thursday, Feb 16, 2023

Roger Mattingly, Trustee Director, Ross Trustees, discusses how investors can insulate their portfolios from external pressures in 2023.

2023 outlook: inflation, recessions, and fixed income opportunities
  • Friday, Dec 30, 2022

Heading into 2023, industry leaders predict peaking inflation and a reliance on fixed income in developed markets.

Insurers slow on promised biodiversity progress
  • Wednesday, Dec 14, 2022

COP15 kicked off last week in Montreal but the industry remains tight-lipped on concrete actions on biodiversity.

Inflation is still a concern for investors
  • Thursday, Dec 08, 2022

Inflation is one of the top concerns for the investment industry, with continued uncertainty and eyes turned toward central banks.

Regulator’s view: maintaining good relationships between regulators and insurers
  • Monday, Nov 21, 2022

Jon Godfread, North Dakota Insurance Department Commissioner, describes what can help the insurer and regulator relationship work smoothly.

Inflation key concern for insurers globally in 2023
  • Tuesday, Nov 15, 2022

2022’s volatile market conditions have driven insurers to follow make more portfolio management decisions based on inflation movements.

The benefits of Enterprise Risk Management
  • Tuesday, Nov 08, 2022

Paolo Laureti, PhD, Product Manager at SS&C Algorithmics, discusses how Enterprise Risk Management (ERM) helps firms optimise capital management.

Real estate remains insurers’ favourite in volatile market
  • Monday, Nov 07, 2022

Global re/insurers say real estate market is their go to in new study that shows trends insurance investors are pursuing.

Regulator's view: North Dakota Commissioner Jon Godfread on uncertain economic times
  • Monday, Oct 03, 2022

Jon Godfread, North Dakota Insurance Department Commissioner, explains his approach to managing the insurance investment industry.

UK government’s growth strategy receives mixed reaction from financial markets
  • Monday, Sep 26, 2022

UK government announces tax cuts and bigger bankers bonuses in growth strategy to combat the cost-of-living crisis.

Understanding emerging liquidity and cash for insurance investors
  • Thursday, Sep 22, 2022

Steve Matthews, Fund Manager Liquidity, Canada Life Asset Management, discusses how to get liquidity outside of bank deposits.