All Financial Risk articles – Page 8
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Features
China declares war on corruption
The Chinese crackdown on corruption has sent ripples throughout Asia, leaving multinationals to determine how to manage its contradictory pressures
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Analysis
Captives: Self-managed or outsourced?
Flourishing interest from SMEs and a growing awareness of non-traditional risks spell good news for captive insurance
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Opinion
Lockton poaches three from JLT to boost its financial risk unit
Broker expands this division with new appoints to its international management liability team
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Features
Oil and finance sectors suffer under insurgent rule
Corporate activities and political ties are under threat from the Islamic State in Iraq
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Analysis
Video news: JLT and Marsh on emerging technology and risks
Key brokers on camera about client engagement, intangible risks and the growing importance of Big Data
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Analysis
XL extends shariah-compliant capacity to financial lines
Insurer reacts to increasing demand for shariah-compliant solutions in a growing marketplace
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Opinion
Global captive market growth set to continue
Captive advisory and practice leader, Nick Gale says flourishing interest from SMEs and a growing awareness of non-traditional risks spell good news for captive insurance
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Analysis
Inadequate risk protection threatens exporters − AIG
The insurer’s latest report reveals UK exporters perceive trade risks as their biggest threat but are failing to protect themselves
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Analysis
Industrial nations boost global premiums
Economic recovery in industrial nations is driving global premium growth as BRIC nations catch up, says Munich Re
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Analysis
RIMS 2014: Captives being used for risk value, not tax efficiency
Research by Marsh finds most US captive owners do not treat their captives as a means of tax efficiency but a tool for operational and risk management value
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Analysis
Captives: Get a grip on intangible risks
Captive insurers are increasingly underwriting more esoteric risks not adequately catered for by the commercial insurance market
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Analysis
Soft energy insurance rates set to accelerate - Marsh
Energy insurance buyers are likely to benefit from an increasingly softening market, according to Marsh
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Analysis
Forex rigging scandal will cause a wave of D&O insurance claims
Why the full cost will top Libor scandal and a global probe involving 15 banks and a dozen regulators
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Analysis
Ukraine crisis exacerbates political risk for Nordic firms
Willis’s Azzizza Larsen explains why political and trade credit risk solutions are in high demand for Nordic multinationals
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Analysis
Multinationals drive trade credit market growth
Large multinationals are buying more credit insurance as the risks increase, according to Marsh’s head of trade credit UK and Ireland, Tim Fisher
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Analysis
Marsh expands trade credit team as economy recovers
Two new members join broker’s trade credit division to assist clients in managing credit risks and capitalise on growth
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Latest Issue
Europe edition - March 2014
Find out how to gain the attention of board members, risk mitigation in the biotechnology sector, and the risks related to virtual currency Bitcoin
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Features
Captives: Guernsey captive managers seek new growth opportunities in challenging market conditions
The Channel island continues to lead the way with captives, protected cell companies and insurance-linked securities, while offering certainty against the prevailing Solvency II regime