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Posts Tagged ‘risk management’

19 June 2015

KKR buys into Stone Point-backed PURE Group through recapitalisation

dollars US private equity firm KKR has picked up a minority stake in PURE Group of Insurance Companies by helping recapitalise the holding company majority owned by Stone Point Capital.

21 November 2014

Montagu makes 2x in £288m exit of risk management tech company CAP

exit European buyout house Montagu Private Equity has sold automative-related data and information systems business CAP to trade partner Solera Holdings for £288m.

13 October 2014

PEP and KKR fail in SAI Global bid

australia_koala_170sq US buyout house KKR and Australian firm Pacific Equity Partners (PEP) have reportedly failed in a joint bid for risk management company SAI Global.

10 July 2014

KKR could team with PEP for SAI Global offer in wake of competition

dice risk gamble US buyout house KKR has reportedly teamed up with Australian peer Pacific Equity Partners (PEP) to make a joint bid for risk management company SAI Global.

26 June 2014

PEP could be pushed to raise A$1.1bn SAI Global bid after sparking competing interest

australia flag Australian buyout firm Pacific Equity Partners (PEP) reportedly faces competition from at least two other businesses after sparking a bidding war with its recent A$1.1bn offer.

27 May 2014

Pacific Equity Partners makes A$1.1bn bid for SAI Global

australia_koala_170sq Australian buyout firm Pacific Equity Partners (PEP) has offered up to A$1.1bn ($1bn) for risk management specialist SAI Global.

24 July 2013

Infrastructure investors neglecting climate risks on new developments $

Some infrastructure investors are still failing to consider the impact of climate change on their infrastructure assets, leaving major developments exposed to the increased long-term physical risks created by changing environmental conditions, according to a new report.

17 May 2013

Institutional investors grow focus on risk management $

Pronounced correlation effects and increases in allocation to real assets should prompt institutional investors to depart from risks models that are based on historic returns in the “new normal” investment environment, a new survey has found.


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