Peter Lin
FIAUK
Consultant
London, UK
Peter Lin works for the Capital Markets and Hedging Group within Milliman’s Financial Risk Management Practice in London. This group advises clients in banking, insurance, mortgage servicing, and funds management on financial risks, hedging strategies, and trading operations.
Experience
Since joining the London practice, Peter has been responsible for trading derivatives for various variable annuity hedging programs of the European insurance markets.
Education
- BSc, University of Edinburgh
- MSc, University of Oxford
Publications
Read their latest work
Article
Roundtable: Life insurer ALM – Summer 2024
24 July 2024 - by Peter Lin, John Jenkins, Florin Ginghina, Russell Ward, William Smith
We summarise key points from a recent panel of senior ALM professionals representing a range of UK-based life insurance firms.
Article
London Market Monitor - 31 March 2023
19 April 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our March review of the markets and Solvency II discount rates.
Article
EuroZone Market Monitor - 31 March 2023
19 April 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our March review of the European markets featuring Solvency II rates, inflation, and volatility and hedging costs.
Article
EuroZone Market Monitor - 28 February 2023
31 March 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our February review of the European markets featuring Solvency II rates, inflation, and volatility and hedging costs.
Article
London Market Monitor - 28 February 2023
27 March 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our February review of the markets and Solvency II discount rates.
Article
EuroZone Market Monitor - 31 January 2023
28 February 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our January review of the European markets featuring Solvency II rates, inflation, and volatility and hedging costs.
Article
London Market Monitor - 31 January 2023
28 February 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our January review of the markets and Solvency II discount rates.
Article
EuroZone Market Monitor - 31 December 2022
31 January 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our December review of the European markets featuring Solvency II rates, inflation, and volatility and hedging costs.
Article
London Market Monitor - 31 December 2022
26 January 2023 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our December review of the markets and Solvency II discount rates.
Article
London Market Monitor - 30 November 2022
30 December 2022 - by Neil Dissanayake, Peter Lin, Nima Shahroozi
Our November review of the markets and Solvency II discount rates.