Insurance Risk - VOL. 6/NO. 9
Articles in this issue
Sovereign stress and its impact on bond portfolios
The sovereign earthquake
Modelling the asset portfolio for Solvency II
Asset to the system
Total return swaps – pension funds seek security in uncertain markets
Many happy returns
Solvency II equivalency: time to end the phoney war
End the phoney war
Scor eyes UK pension funds’ longevity risk
Reinsurer Scor becomes the latest firm to enter the longevity arena
UK’s TPR issues FSD on Lehman Brothers
The Pension Regulator takes a tough line with Lehman Brother creditors over UK pension fund deficit
Solvency II to curb renascent with-profit sector
Higher capital charges for with profits products under Solvency II
ATP hits out at resurgence of hybrids
Hybrid debt is in the firing line for offering equity risk but only bond yields
Potential back-door route to Solvency II equivalence for US insurers
EC outlines potential route for US insurance regulatory regime being granted equivalent status to Solvency II
Life & Pension Risk - 2010 awards
Life & Pension Risk rewards best practice and innovative thinking in its 2010 awards