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Jersey: excellence offshore
EMEA analysis
Geoff Cook details Jersey’s leading position as an offshore financial domicile and explains why the island has grown increasingly attractive to the international captive industry   1 January 1970
Nevis: continued evolution
USA analysis
Nevis’ natural beauty and responsive regulatory environment have spurred impressive captive growth as the island climbs into the top echelons of captive domiciles.   1 January 1970
An informed decision - considering a captive
Feasibility studies analysis
There are various factors parents need to reflect upon when considering a captive. Melisa O’Brate of Crusader International Group picks her way through the essential points.   1 January 1970
EMEA analysis
EMEA Captive examines perceptions of the Solvency II regime in its present form, and asks industry players whether the regime is appropriate to the captive sector.   1 January 1970
Cayman analysis
Paul Scrivener, partner with Cayman Islands law firm Solomon Harris, outlines proposed new legislation to permit Cayman Islands segregated portfolio company insurers to incorporate their cells.   1 January 1970
Actuarial & underwriting
With experience of a number of recent high profile maritime disasters, Andrew Cater of the United Insurance Company discusses the relevance of a captive solution to cover complex maritime risks.   1 January 1970
Cayman analysis
As the International Accounting Standards Board develops its reporting requirements, PKF’s Ben Leung and Rennie Khan examine the International Financial Reporting Standard 9 and its application for insurance.   1 January 1970
EMEA analysis
Malta continues to attract rising levels of captive business to its shores, as Dr Matthew Bianchi explains.   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
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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