Magazine

Read the latest edition of AIR and MEIR as an Interactive e-book

Apr 2023

Investment


Managing a volatile market

Rising inflation and the subsequent tightening of monetary policy around the globe have led to a difficult year for financial markets. Organisations are scrambling to revisit investment strategies and find the right mixture of assets and bonds in order to maintain profitability this year. We spoke to AXA Investment Managers’ Ms Ecaterina Bigos to find out more.
 

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Insurance asset managers must watch inflation and ESG

Equity markets may remain range-bound and volatile amidst global headwinds and macro uncertainties over growth, inflation and interest rates, says Kotak Mahindra Asset Management’s Mr Shibani Sircar Kurian.
 

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Insurance asset management in the Middle East

A look at how insurers in the UAE and Saudi Arabia are investing and what might affect their asset allocation in the near future from BADRI’s Mr Hasham Esmail Piperdy.
 

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Investment outlook for insurers

State Street Global Advisors’ Mr Altaf Kassam shares his views of how different asset classes are being impacted by current economic conditions – including rising interest rates and inflation.
 

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Insurers face difficulty reallocating portfolios without making losses

The investment outlook for insurers is complex amid high inflation, interest rates and recessionary risk. Many insurers are also constrained in their ability to reallocate portfolios. Middle East Insurance Review spoke to JP Morgan Asset Management’s Mr Gareth Haslip for insights.
 

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