Reed Smith’s Claude Brown: The case for catastrophe bonds
Among the increase in both the number and severity of natural calamities, it is easy to understand why those exposed would explore ways of diversifying risk.
Among the increase in both the number and severity of natural calamities, it is easy to understand why those exposed would explore ways of diversifying risk.
Activist hedge fund Saba Capital has disclosed exposure to Scottish Mortgage and 34 other UK closed-ended funds, which are owned directly or through derivatives.
JO Hambro Capital Management has set out the succession strategy for the departure of UK Dynamic fund manager Alex Savvides, who is set to leave the company for Jupiter later in the year.
The Treasury has outlined a new mechanism to enhance the UK’s resolution regime, which aims to manage the failure of small banks more effectively and limit risks to public funds.
When investors think of technology, familiar names such as Google, Microsoft, and Apple are often the first companies that come to mind.
Bank of England deputy governor for financial stability Sarah Breeden has argued the bank’s quantitative tightening programme has not had an impact on financial stability.
Boring Money and global fintech Broadridge Financial Solutions have launched a data-driven solution to help asset managers address the requirements of the Consumer Duty.
Close Brothers Asset Management has made two senior investment hires from Investec Wealth & Investment, as the firm looks to bolster its bespoke investment offering.
Retail investors in the UK flocked back to markets in November 2023, reversing the flight to safety witnessed in the previous months.