Latest insurance thinking

  • COVID, capital and climate: An interview with Ashish Dafria

    7 May 2021

    Ashish Dafria, chief investment officer for Aviva, discusses the investment implications of the pandemic, climate change and the macroeconomic environment for a large insurer.

  • Pressure points: The investment challenges facing insurers

    5 May 2021

    Low interest rates, regulation and ESG risks are not new considerations for insurers’ investment strategies. However, the long-term fallout from COVID-19 is adding a layer of complexity they will need to adjust to.

  • What does the data say? Bitcoin, offices and emissions

    30 Apr 2021

    In our monthly visual series on topical data themes, we look at whether Bitcoin could be the new gold, if COVID-19 has put pressure on London office rents, and the extent to which transport affects the carbon footprint of foods.

  • Living in the past: Why are controversy scores so controversial?

    8 Apr 2021

    Many investors use controversy scores as a filter to avoid firms whose damaging behaviour has hit the headlines, from human rights violations to environmental disasters. But these scores have serious limitations, making them an inadequate tool for investors who want to manage ESG risks and have a positive impact.

  • Everybody wants one: Are sustainable bonds the new smartphones?

    5 Mar 2021

    The COVID-19 pandemic has highlighted the importance and fragility of the natural balance. As governments, companies and investors aim for a just transition, sustainable bonds are being issued at pace in different formats. Is it a fad, and do markets really need so many varieties?

  • How Manchester transformed into a city of the future

    26 Feb 2021

    Once an industrial powerhouse, Manchester reversed its decline to become one of Europe's top creative capitals. Watch our video to find out why we call it a city of the future.

  • Multi-asset allocation views: Room to grow

    16 Feb 2021

    The early part of a year gives investors an opportunity to take stock. Sunil Krishnan reflects on how the current environment is shaping our views for multi-asset portfolios.

  • A time for action: Race, ethnicity and investing

    28 Jan 2021

    In a two-part feature, we look at what asset managers need to focus their engagement efforts on to make a difference on anti-black racism, and why the industry needs to get its own house in order.

  • The path for oil and gas after COVID-19

    20 Jan 2021

    Post-COVID recovery initiatives from governments are increasingly taking a green path, but the response of oil and gas companies so far runs from denial to complete reinvention. Should they continue pumping oil for as long as they can to avoid destroying capital for investors, or do they need to accelerate efforts to future proof their businesses now?

  • COVID, climate and Black Lives Matter: The stories that defined 2020

    10 Dec 2020

    We select some of our key pieces of content in a year of unending drama.

  • Income investing: The return of Goldilocks and the three bears

    3 Dec 2020

    The Goldilocks environment is back, but bears are lurking in the shadows. Francois de Bruin explores the risks and opportunities that need to be managed to get outcomes that are “just right”.

  • Race, ethnicity and investing: A time for action

    28 Oct 2020

    In the first of a two-part series on anti-black racism, we look at five areas asset managers need to focus on if their engagement efforts are to make a positive difference.

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