Insurance

You are fluent in MaRisk and Solvency II.
We have solutions that speak your language.

As investors subject to the VAG, you have to struggle with increasing regulation and low interest rates. We will open up new avenues for you to attain your actuarial interest rate.

Expertise for insurance-regulated investors

Insurance companies are amongst the most numerous of our institutional clients. Through in-depth understanding of your specific needs and detailed knowledge of the regulatory requirements, the experts from our Specialist Team for Insurance are in a position to develop customised solutions for insurance companies and cover the entire value chain of asset management.
 
Starting with individual consultations, administration of your capital investments, risk-adjusted investment concepts for fixed income and other securities, or comprehensive reporting services – our product solutions and services for insurance companies are highly versatile and meet a wide range of regulatory requirements. 

"From risk management to return requirements: we support insurance companies to achieve their goals."

Dirk Wiegelmann, CFA

Head of VAG Investors

Capital market solutions

Tapping into earnings opportunities in capital markets

 

The difficult market environment and the growing level of regulatory requirements (MaRisk, Solvency II) present a major challenge for the insurance industry with respect to asset allocation.

Our capital market solutions allow you to take advantage of earnings opportunities, to manage liquidity, match maturities and hedge against risk. We understand your needs and develop product solutions tailored to your individual investment strategy and consistent with your investment guidelines.
 
Products and solutions:

 

  • Interest rate structures
  • Foreign exchange transactions

Risk-adjusted investment concepts

The right choice of investment model keeps an eye on risk, safeguards assets and will lead to lasting investment success

 

Our specialists in quantitative investment concepts evaluate economic relationships based on historical data and produce reliable forecasts for a variety of markets. In the best interest of the investor, mathematical models are used to pursue an investment strategy that optimises risk-return and eliminates subjective decisions. Strategies to preserve and protect capital can also be put into place.
 
Products and solutions:

 

  • Quantitative equity and bond strategies
  • Strategies aimed at protecting capital

Deka infrastructure and real estate loans

Alternative returns without running your own lending business

 

We place our expertise in lending and asset management at your disposal with the opportunity to invest in select infrastructure and real estate loans. This allows you access to a high-quality loan portfolio without having to run your own lending businesses. Especially in light of the Solvency II capital requirements, loans are becoming more attractive as an alternative source of investment returns.
 
Products and solutions:

 

  • Investment in infrastructure loans
  • Investment in real estate loans

Contact

Dirk Wiegelmann, CFA

Dirk Wiegelmann, CFA

Head of VAG Investors

(+49) 69 71 47 - 33 98

Michael Gieseler

Michael Gieseler

Specialist Team Insurance/Pension Plans and Schemes

(+49) 69 71 47 - 82 91

Marie Keil-Mouy, CIIA

Marie Keil-Mouy, CIIA

Specialist Team Insurance/Pension Plans and Schemes

(+49) 69 71 47 - 74 11

Harald Sauber

Harald Sauber

Specialist Team Insurance/Pension Plans and Schemes

(+49) 69 71 47 - 63 56

Michael Becker

Michael Becker

Specialist Team Insurance/Pension Plans and Schemes

(+49) 69 71 47 - 73 44