This report provides thorough analysis of the insurance segment of Europe's institutional investment landscape, from asset managers to gatekeepers to broad coverage of the end-client. The report shows how the dynamics between insurers and asset managers are changing and the kinds of products and services that will become necessary to do investment business with Europe's insurers. It covers general account assets of insurers in the United Kingdom, Sweden, Germany, France, Italy, and Switzerland.
Reasons To Purchase:
- Construct actionable business plans for selling to discrete parts of Europe's insurance marketplace
- Understand fundamental drivers behind insurers' investment appetite
- Gauge Europe's appetite for alternative investments under Solvency II
- Learn how forthcoming regulation could inform insurers' product choices