Twelve Investment Outlook for 2H 2015
Posted on July 14, 2015 in Highlights, Twelve, Twelve highlight, Uncategorized
Whilst macro volatility stemming from Greece’s unresolved sovereign debt problem is grabbing the financial news headlines, it is Solvency II’s launch in 2016 that is the more important catalyst for Insurance Debt and Equity performance over the remainder of 2015.