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Toughing it out - portfolio management
Asset management analysis
Achieving investment returns on previously ‘safe’ instruments is challenging in today’s markets. Colin Freeman of Barclays explores the optimal level of portfolio risk captives can achieve in such conditions.   1 January 1970
Risk: return: a precarious balance
Asset management analysis
With US low interest rates and troubled economic conditions a feature of the landscape, what kind of returns can captives expect from their US bond and stock investments? The Vanguard team investigates.   1 January 1970
Cayman analysis
The convergence of international and US accounting and financial standards will be a test for companies in the coming months. Ben Leung and Rennie Khan of PKF (Cayman) explore the challenges ahead.   1 January 1970
Cayman analysis
In choosing a home for its captive the Caribbean Catastrophe Risk Insurance Facility opted for Cayman’s welcoming shores. We discover the reasons and its significance to the natcat coverage of the region.   1 January 1970
Analysis
PointRight explains how strong data analytics can help captive managers build a profitable healthcare captive, even in a soft market.   1 January 1970
Accounting & tax analysis
A thoughtful and attentive audit can cast a telling spotlight on the finances of any captive. Following a troubled few years in the financial markets, such scrutiny is all the more pressing, says Geoff Johnson at BDO.   1 January 1970
Cayman analysis
Many pluses accrue to a parent from owning a captive: stability of pricing, freedom from the commercial market and improved long-term cash flow, to name just a few.   1 January 1970

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