
Rob Mannix
Investing editor
Rob Mannix is the investing desk editor. Based in the London office, Rob is interested in developments such as the use of new types of data, the application of machine learning in investment, and research into systematic sources of return in markets.
Rob joined Infopro Digital (then Incisive Media) in 2008, having previously worked at Euromoney Institutional Investor, covering legal and regulatory issues affecting capital markets.
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Articles by Rob Mannix
Insurers review options as collateral pressures grow
Insurers are under increasing pressure to plan access to collateral
Insurance Europe questions plans on uncleared swaps
Proposed rules under Emir could deter hedging, says association
Insurers wary as Singapore revamps RBC rules
Proposed capital charges would force changes to product mix
Take part in the BNY Mellon/Insurance Risk collateral management survey
Join our study of approaches to central clearing from insurers
Webinar: Solvency II, cloud computing and model governance
The computational requirements of Solvency II are driving the need for more computing power and data storage accessible on a scalable basis, encouraging insurance companies to consider use of the cloud and the benefits that doing so can bring. Firms are…
BCR consultation: IAIS ducks key issues
Asset-liability matching and diversification benefit left out
BT longevity swap points way for pass-through structures
More pension schemes could take on reinsurer counterparty risk
Infrastructure supply falling short of insurer demand, say experts
Activity limited and dominated by a handful of firms
Reinsurance: GreyCastle shows different approach for new capital
Rob Mannix speaks to GreyCastle chief executive about its deal with XL
Fairness agenda raises concerns for Swedish insurers
New bonus distribution rules would have negative effects, say practitioners
Insurers review conduct risk as FCA targets mis-selling
Regulator looks for excessive profits and exploitative sales techniques
Insurers to repackage assets for matching adjustment
Firms consider structured options for assets to meet Solvency II criteria
Aviva longevity swap raises questions for intermediaries
Insurer goes direct to reinsurers for £5 billion pension scheme risk transfer
Insurers weigh home-loan investment as efficient source of yield
Capital charge for residential mortgages under Solvency II makes buying loan portfolios more attractive, say bankers
Asia CROs divided on risk culture measurement
Risk culture hard to manage, even harder to measure, say panellists at Insurance Risk Asia
OpRisk Asia: Loss data collection faces pitfalls, panel warns
Loss data is vital to op risk management - but the process is flawed and uncertain, Singapore conference hears
OpRisk Asia: Remuneration and evaluations not the whole answer on culture
Culture is a priority for op risk managers – but the tools needed remain elusive