Insurance asset management

Harnessing a return-seeking approach in a highly regulated environment

Insurers in Europe and across the world continue to face multiple challenges such as interest rate, regulation and ESG risks for their investment strategies.

We offer a comprehensive range of solutions and services, working with leading insurers to deliver bespoke solutions that are uniquely tailored to meet our clients’ needs.

1. Certain investment strategies, asset classes, exposure and security types do not integrate ESG factors, including but not limited to money market, buy-and maintain, passive, and certain third-party sub-advised strategies or certain currency or derivative instruments. Different strategies that integrate ESG factors will be at varying stages of implementation. Please read a fund's prospectus or offering memorandum for further details.

Our fixed income specialisms

Operating as one investment team, we are experts in 7 fixed income sub-asset classes with 134 professionals dedicated to research, analysis, portfolio management, construction and trading.

Our equity specialisms

We focus on 5 equity sub-asset classes in EMEA APAC with 101 global investment professionals across RBC GAM.