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Asset management analysis
The European crisis has shredded the nerves of even the most hardened investor. Here, we explore the implications of the crisis for the investment strategies of captive insurers. 1 January 1970
Asset management analysis
The dangers of the financial crisis may have subsided, but the prospects of another ‘asteroid strike’ should not be underestimated and captives need to take careful note of the ongoing threat, argues Ian Sangster. 1 January 1970
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
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
Asset management analysis
These are difficult times for asset management. Here, Stephen Morris assesses the various approaches captives can take to manage their investment portfolios. 1 January 1970
Asset management analysis
David Kilborn, chief investment officer at Performa, outlines what investment strategies Performa is recommending to captives and the company’s approach to developing its growing US presence. 1 January 1970
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