Schroders Insurance Asset Management

Delivering dedicated and focused solutions to the insurance sector

Insurance companies face many investment challenges and at Schroders we aim to bridge the gap between intelligent ideas and regulatory reality.

As an independent asset manager, our clients’ needs come first. We manage £343.8bn (€413.7bn)* on a global platform across all major asset classes, of which £65.1bn (€78.4bn)* is managed on behalf of insurance clients worldwide.

*at 30 June 2016

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Expertise

A unified framework for managing and servicing client portfolios

Our insurance clients benefit from the expertise of our dedicated insurance team, who coordinate Schroders’ extensive investment and risk management resources to design, deliver and support Solvency II capital efficient investment strategies.

For a conversation targeted at achieving better results contact us.

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Economics

02DEC 2016

Employment report seals December rate rise in the US

Economics

02DEC 2016

Employment report seals December rate rise in the US

The Fed looks poised to raise interest rates as the US approaches full employment.

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Markets

02DEC 2016

Outlook 2017: Japanese equities

Markets

02DEC 2016

Outlook 2017: Japanese equities

In common with other equity markets, the outlook for Japan in 2017 has become slightly more complicated following the US presidential election.

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Markets

01DEC 2016

The '75%' chance that the Santa Rally exists

Stockmarket superstitions should be treated with caution. However, analysis of decades of data suggests December has normally been a good month for e…

Markets

01DEC 2016

Outlook 2017: European equities

2017 could be a volatile year for European equities but this can create significant investment opportunities, particularly as earnings look poised to…

Market Strategy

Global Markets Perspective
Q4 2016 – Forecasts update, a look at the upcoming US election and a research note on the limits of monetary policy. Read more 

Economic & Strategy Viewpoint
October 2016 
This month we look at political risk, both in the US and Europe, as the US presidential election and Italian referendum approach. Read more 

Asset Allocation