What stress-testing factors should insurance investors be looking at?
Amit Agrawal, Head of Fixed Income, AXA XL, gives his views for the next five years and the investment environment - where should insurers be paying attention?
European insurers’ returns “have peaked”
How are investors adapting to lengthened macroeconomic volatility?
Insurers still worried about potential US recession
Which assets are likely to be most and least resilient in 2024?
Staying vigilant in Buy and Maintain credit portfolios
Buy and Maintain strategies can offer investors many of the same benefits of more traditional active funds, while avoiding the pitfalls of passive investing.
What should insurers monitor closely in a volatile economic climate?
Income strips for insurers: A natural fit?
Game, set & Matching Adjustment
Municipal Bonds: The case for inclusion in European Insurers' portfolios
Latest Q1 2024 insurance investment results
Further results for Q1 2024 arrive, including Mercury General, Lemonade, Beazley, Everest Group, Arch, Hiscox, AIG, and SiriusPoint.
US Q1 2024 investment results show strong returns
Travelers reveals "excellent" Q1 results
Italian insurers’ profitability surges with investment returns
Lloyd’s and PIC announce results for 2023
What stress-testing factors should insurance investors be looking at?
European insurers’ returns “have peaked”
How are investors adapting to lengthened macroeconomic volatility?
Insurers still worried about potential US recession
Which assets are likely to be most and least resilient in 2024?
Globalisation is on the way out – what does this mean for investors?
Are insurers changing how they manage risk exposure?
How should insurers position themselves to tackle future risks?