All Strategic Risk Global articles in Online only – Page 33
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Analysis
Risk managers should ‘pick recovery over replacement’ to aid sustainability
As sustainable approaches burgeon in importance, risk managers have been urged to focus on recovery measures when disaster hits
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Analysis
IoD urges UK government to speed up net zero transition
Calls for tax incentives to support the business transition and reduce dependency on fossil fuels
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Analysis
Insuring the transition
The industry has a ‘once in a lifetime’ chance to support the transition to Net Zero. So what are we waiting for?
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Analysis
Inflation fuels social unrest, with the worst to come
Bosnia and Herzegovina, Switzerland, Netherlands, Germany, and Ukraine are among the states with the biggest projected increases in risk
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Analysis
Are your brokers costing too much?
When approaching last year’s renewals, a single factor helped us shortlist brokers: data
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Analysis
Why we should have seen the energy crisis coming
Energy investments are long-term and highly capital-intensive. One simply cannot click a switch and expect to solve the problems of today, argue Grant Griffiths, Dylan Campbell, and Alexander Larsen
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Analysis
D&O insurance pricing begins to ease
Rates for D&O decreased in Q2, albeit at a slower pace than they had increased during the hard market cycle - Aon
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Analysis
UK subsidence claims rise by up to 500%
The summer’s extreme heat is to blame for a surge of subsidence claims in more drought-prone parts of the country
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Analysis
Battery fires in shipping a significant safety issue
All parties in the supply chain must understand and mitigate risks of transporting lithium-ion batteries - AGCS
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Analysis
Demand for trade credit cover will increase even as appetite reduces – Aon
Supply chain issues, inflationary pressures and geopolitical uncertainty contributed to the market’s challenges in Q2 2022
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Analysis
Firms underprepared for Ukraine impact - Mactavish
Inflation, underinsurance and the impact of sanctions and war exclusions are just some of the challenges
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Analysis
‘Zero trust’ a top priority for 80% of C-suite
Amid growing cyber threats and changing work environments, decision-makers are embracing a ‘zero trust’ mentality
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Expert Views
4 things captive owners should know about parametrics
As interest in parametric solutions continues to grow, Thomas Keist of Swiss Re Corporate Solutions considers how they can be used in the context of a captive
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Analysis
Firms face underinsurance as construction costs rise
Raw material shortages and rising energy costs are causing building costs to skyrocket, potentially leaving business out of pocket
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Analysis
Ukrainian grain insurance facility secures first placement
Marine cargo and war facility has been extended to clients of Lloyd’s brokers
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Opinion
Risk management and next-generation technology
Why firms must proactively construct risk management capabilities to keep pace with transformative change
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Analysis
Insurance facility launches to cover green and blue hydrogen project risks
Investment in green and blue hydrogen initiatives is estimated to exceed $150 billion by 2025
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Analysis
CNA Hardy bags ex-Axa XL chief as new director of risks
Raphael Borrel is the ex-chief risk officer of Axa XL-owned intermediary XL Catlin Services
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Analysis
European winterstorm losses creep up to €3.74 billion - Perils
The latest estimate makes the February storms the largest European windstorm loss since Kyrill in January 2007
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Analysis
The risk of underinsurance posed by inflation
Brokers have a ‘real opportunity’ to showcase their value in the face of cost and supply chain pressures