Aviva
Original headline:
Source: Life & Pension Risk
Pricing and transaction process must now be addressed in order to attract investors, say experts
Original headline:
Source: Life & Pension Risk
Managing market risk is a key issue for life insurers. Clive Davidson looks at the challenges they face in modelling this risk and how the assumptions that underpin their models are changing in response...
Original headline:
Source: Life & Pension Risk
Life insurers and pension funds have been using commodities as a portfolio diversifier for years. Blake Evans-Pritchard reports on how the asset class is evolving
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More Aviva articles
Original headline:
Source: Life & Pension Risk
Eiopa stress test shows threat to insurers of low interest rates
Published online only
Source: Life & Pension Risk
Generali subsidiaries and Groupama receive downgrades; Aviva placed under review
Original headline:
Source: Life & Pension Risk
Curve fitting is one of the most popular approximation methods to value liabilities. But it has limitations and insurers are working hard to optimise the technique, reports Clive Davidson
Original headline:
Source: Life & Pension Risk
The financial crisis had a significant impact on the profile of the risk function within financial services organisations. Yet the role of chief risk officer (CRO) is a relatively new one for insurance companies. Robin Spencer, London-based chief risk...
Original headline:
Source: Life & Pension Risk
Over the last 12 months Aviva investors has developed a range of innovative solutions to client problems. Richard Warne, strategy director at Aviva Investors, says: “We believe these innovations demonstrate not only our deep understanding of the needs...
Original headline:
Source: Life & Pension Risk
Bankers and investment managers have welcomed government proposals to introduce gilts linked to the consumer price index (CPI), downplaying concerns that these instruments could fragment the market. In July, the UK’s Debt Management Office (DMO) launched...
Published online only
Source: Structured Products
The financial crisis has led to a greater awareness of the need for a much broader analysis of corporate performance and risk that encompasses environmental, social and governance (ESG) factors, rather than merely focusing on quarterly returns, say market...
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