September 8 - 9, 2016
Optimise the return on capital for insurance assets in light of the continued impact of low rates, high volatility and the Solvency II regime.

Key Topics
Understand how to optimise asset allocation strategies to get the best return on capital
Hear how to handle the technical aspects of Solvency II to improve investment strategy
Learn how peers are managing investments in assets such as infrastructure
Discover what strategies are being pursued to navigate the high volatility, low rates environment

Venue

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Organizer

marcus evans inc
455 North Cityfront Plaza Drive (9th Floor) Chicago, IL 60611 USA
1 312 540 3000

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Annual Managing Insurance Assets September 8 - 9, 2016