Insurers face volatile and uncertain conditions, changing regulatory landscapes and slow economic growth, so securing better returns and assuming higher risk portfolios will be a tight balancing act.
What attractive investment opportunities will be favoured in an increasingly challenging investment environment characterized by negative bond yields, tight spreads, and wide spread financial market volatility? It is an opportune time to add strategies that can offer alternative sources of return and portfolio diversification.
Insurers need to adapt to market behaviour and exploit new opportunities available in the cross-currents of underlying fundamentals and market behaviour. With these challenges in mind, our 4th Asia Investment Management Summit for Insurance is the ideal platform for Chief Investment Officers and Finance Chiefs with Investment mandates of insurance and reinsurance companies to gain unrivalled insights into investing for the appropriate returns, be it short or long term. It is THE FORUM to learn and share expert knowledge and analysis on where will growth come from in 2016 and find out which key factors are most likely to shape investment choices.
Join our discussions on strategies that can limit risk and deliver better returns, and network with the people who matter to build business critical relationships.
The day’s issues are covered through Expert presentations and In-Depth Panel Discussions.