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Human capital: on the road
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
Cayman analysis
To derive maximum benefit from future audits, captives would do well to apply proactive best practice. Melanie Snyman, Ian Bridges and Damian Pentney of PwC outline exactly what captives should be paying attention to.   1 January 1970
article
Eric Robinson, vice president—facilities and operations at Chartis Bermuda Limited, outlined the company’s decision to opt for architecture and design firm OBM International to design its new workplace.   1 January 1970
Asset management analysis
Dr. Eugene Durenard and Andrew Marsh of Capital G focus on approaching your investment strategy, picking your investment manager and why Bermuda is the top domicile choice a captive manager can make.   1 January 1970
Analysis
After months of uncertainty, it seems that Bermuda’s approach to Solvency II equivalency is likely to differentiate captives from the wider commercial market.   1 January 1970
article
The inaugural Bermuda Insurance Institute (BII) and Bermuda Insurance Management Association (BIMA) Education Summit provided insights into the captive insurance industry to newcomers in the field.   1 January 1970
Accounting & tax analysis
Bermuda has signed a number of tax information exchange agreements. None appears to have been more significant than that signed with Canada. Implications for the captive sector and future growth are discussed.   1 January 1970
Bermuda analysis
Bermuda Captive spoke with Phil England, equity shareholder at Anderson Kill & Olick, about the strengths of Bermuda and how it can maintain its competitive advantage.   1 January 1970
Asset management analysis
A troubled investment environment has made returns elusive. Richard Garland of Investec Asset Management outlines how emerging market debt can help captives achieve their investment ambitions.   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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