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Newsletter

London Market Monitor - 31 January 2024

26 February 2024

This report recaps the state of the local and global markets at month end, including the following:

  • Graphs, tables and commentary on the equity, bond, and currency markets
  • Information on Solvency II discount rates for the pound and euro, along with swap credit risk adjustment
  • Fundamental spreads for financial and non-financial
  • Update on U.K. inflation and year-over-year growth in domestic product
  • Recap of volatility and hedging costs

About the Author(s)

Bas Polder

Amsterdam Insurance and Financial Risk

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