World Insurance Report
Sector stocks respond positively to state intervention
At first glance, the two week period ending 4th December represents a period of significant recovery for the insurance and
reinsurance stocks tracked by WIR. But it was all down to the extreme volatility in the broader market rather than any inherent
resilience in the insurance sector itself. The capital market prospects of the latter remain largely depressed by the turmoil
in the banking sector.