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Analysis
The EIOPA has highlighted the importance of cooperation between national supervisory authorities in response to the sustained low interest rate environment.   11 March 2013
Asset management analysis
Bermuda-based Enstar Group, which specialises in acquiring and managing insurance and reinsurance companies in run-off, has completed its acquisition of Seabright Holdings.   14 February 2013
Asset management analysis
According to a special report issued this week by AM Best, captives survived the economic collapse but Solvency II’s implementation presents considerable problems for the industry.   14 February 2013
Asset management analysis
Independent wealth management firm London & Capital will begin offering a managed portfolio solution specifically for cell captives.   29 November 2012
Asset management analysis
Simon Cawdery at EFG Bank discusses one of the great debates in the investment industry: inflation, its potential and what investors should do about it.   29 November 2012
Asset management analysis
BlackRock plans to launch a new investment unit that will specialise in structuring investment opportunities that would allow insurers and captives to invest in infrastructure debt.   29 November 2012
Asset management analysis
According to a new survey published by The Insurance Asset Manager, insurance companies rely heavily on external portfolio management, a trend that has its roots in the 2008 financial crisis and is only likely to grow.   22 November 2012
Asset management analysis
With rumours circulating about the demise of the euro following Greece’s economic implosion, David Burns reveals how market expertise can result in an alter native view.   1 January 1970
Analysis
Deciding upon an investment manager and an asset strategy to meet your particular needs is no mean feat. Bermuda Captive explores some of the questions you need to ask.   1 January 1970
Asset management analysis
The danger of interest rate rises has been talked up, but Ed Goard of Munder Capital believes that the threat is overplayed, and argues that the captive sector should prepare for a long-term low interest rate environment.   1 January 1970

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