European Asset Allocation under Solvency II

Time: 18-19 April 2013
Venue: Marriott Hotel, Frankfurt, Germany

Exploring the impact of Solvency II on the management of insurance assets at the heart of the Eurozone. This marcus evans conference will demonstrate how insurers and asset managers can develop asset allocation strategies which not only ensure compliance with Solvency II, but are optimised to provide a competitive advantage.

Key Topics:

  • Discover how to maximise yields in the Eurozone's challenging climate
  • Learn how to redesign your portfolio for maximum investment
  • Understand the accounting implications of Solvency II for
  • Determine which products will benefit your investment
  • Meet the reporting requirements for Solvency II

For more info



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