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Analysis
The Nonadmitted and Reinsurance Reform Act is proving a thorny issue for captives. Do they pursue a potential home state advantage conferred by the act or hope for a captive exclusion? 1 January 1970
Analysis
EMEA Captive spoke with Carlos Montalvo of the European Insurance and Occupational Pensions Authority (EIOPA) about the evolving Solvency II regime and likely captive treatment under the emerging framework. 1 January 1970
Actuarial & underwriting
Increased exposure to cat losses in Asia is encouraging firms to consider insurance to mitigate rising risk costs. Captives are set to form a key part of these efforts to contain risk exposures, writes Dwane Feehely. 1 January 1970
Analysis
The global captive regulatory landscape continues to evolve—and dynamically. Here, Jonathan Groves explores its likely direction and implications. 1 January 1970
Analysis
US data protection requirements are on the rise and captives will need to respond effectively. Eric Fader and Laurie Kamaiko outline the steps captives need to take in order to be prepared for the changing landscape. 1 January 1970
Cayman analysis
It has been a good year for captive redomestications, with Cayman playing to its unique strengths in 2011. Clayton Price details why Cayman can expect further captive interest in the coming years. 1 January 1970
Cayman analysis
Richard Coles, chairman of Cayman Finance, outlines Cayman’s ongoing success as a captive and financial domicile. 1 January 1970
Analysis
A host of issues confront the captive industry, but clarity on how exactly they will play out continues to elude participants. In the meantime, the industry is taking a wait-and-see approach to its future progress. 1 January 1970
Analysis
Captive service providers employ local expertise and centres of excellence to attend to the intricacies of
the captive sector. Here, the mobility of human capital in the sector is explored. 1 January 1970
Asset management analysis
Against the current backdrop of low US interest rates and elevated economic volatility, what are reasonable expectations for US bond and stock returns and the potential implications for strategic asset allocation? 1 January 1970
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