Asset and liability management (ALM)
Life & Pension Risk Nordics: Market volatility and Solvency II 'present opportunities for life sector'
Solvency II must be implemented on time, says Länsförsäkringar Liv CFO
The extrapolation conundrum
The extrapolation conundrum
Insurers look to social housing to diversify asset mix
Social enterprise
Investors split on 100-year gilt proposal
An ultra long-dated gilt will provide observable market data for liability discounting, but investor demand at the 100-year maturity is questioned
Low risk, high return: getting the most from a low risk asset strategy
Low risk, high return
Life & Pension Risk software directory 2012
Software directory 2012
Cash-rich insurers eye loan books of de-leveraging European banks
Cash-rich insurers eye loan books of de-leveraging European banks
The volatility challenge
The volatility challenge
Solvency II asset charges will not stop insurers funding banks
Strategic moves
Eurozone debt writedown could cost insurers €143bn
Prolonged low interest rates could threaten insurers’ solvency, Swiss Re warns
Falling coverage ratios will hamper Dutch pension funds’ buy-out efforts, warns ABN Amro
ABN Amro predicts half of Dutch company pension funds will shift assets to insured schemes
Inflation estimate errors costing defined benefit sponsors £50 billion
Overestimated inflation projections could be costing UK defined benefit scheme sponsors more than £50 billion in unnecessary funding commitments, a corporate adviser warns
Insurers await Solvency II clarity for asset allocation
Feeling the way
Chinese sovereign wealth funds should dump US stocks, report says
Chinese sovereign funds such as Safe Investment Company and CIC should consider dumping and even shorting US retail stocks during US economic downturns, if they want to adopt an integrated asset and liability management process when making investment…
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When is a hedge not a hedge? ALM under Solvency II
Dutch pension reforms could cause unwinding of swap hedges
Dutch pension reforms could cause unwinding of swap hedges
Solvency II set to revamp insurers’ asset allocation – but not yet
Solvency II set to revamp insurers’ asset allocation – but not yet
Insurers in Asia ramp up risk technology platforms
Suped-up systems
Council of Europe pushes full implementation date of Solvency II back to 2019
Full impact of Solvency II’s interest rate term structure will not be felt until seven years after the directive’s introduction
Too big to invest? Asset allocation for supersize pension funds
Too big to invest?
Axa’s Mark Stamper talks about the insurer's risk overhaul in Asia
Chains of command
Structured hybrid products prove popular in Korea
Reinforcing structures
Takaful presents unique ALM challenges for insurers in Asia
Moral assurance
Preparing for Solvency II
Solvency II: insuring for change