The Asset Management for Insurers Insight Series - Webinar 3

Presented by

Gerard Moerman, Head of Investment Solutions

About this talk

Has the asset landscape shift created opportunities in liquid markets? Market turmoil has led to dramatic spread movements in liquid fixed income markets. Has the market overreacted, or do these new levels reflect the increased risks in the lending markets? Gerard discusses with Olaf van den Heuvel, Aegon AM’s Head of Multi-Asset, and considers these in the context of an insurer’s SCR budget. The start of 2020 has seen unprecedented turmoil in the financial markets. What is the impact on insurance companies? Which investment opportunities are emerging from a balance sheet perspective? You are invited to our Asset Management for Insurers Insight Series, hosted by Gerard Moerman, Head of Investment Solutions. Webinar 1: Aegon Insurances’ experience and insights 17 April, 11.00 – 12.00 CET You can find the recording by typing 'Insurers Insight Series' in the search box. Webinar 2: Illiquid investments: how they weather the current storm 24 April, 11.00 – 12.00 CET
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Aegon Asset Management We are active global investors. Our 380 investment professionals manage and advise on assets of USD 408 billion (as of June 30, 2020). We organize our capabilities around four global investment platforms where we have deep asset-class expertise: Fixed Income, Real Assets, Equities, and Multi-Asset & Solutions. We serve a global client-base of pension plans, public funds, insurance companies, banks, wealth managers, family offices and foundations.