Archived Market Newsletters
We provide newsletters on various topics related to our basic focus on risk management and risk financing that we believe would be of interest to clients, prospective clients and friends. In addition to providing such industry information we will add our commentary on how these developments relate to risk management and financing programs going forward. Risk strategy not only depends on current market conditions but how we see these or other issues developing into the future.
For brokers and agents who would like to develop a newsletter capability or wish to customize our materials for print or e-mail versions to their clients this can be arranged with costs depending upon the material, frequency and delivery method(s).
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61 Debt Downgrade.pdf
(408K) -

60 Headwinds to Growth.pdf
(749K) -

59 1Q2011 Financials.pdf
(351K) -

58 Sovereign Debt Crisis.pdf
(310K) -

57 Natural Catastrophe.pdf
(405K) -

56 Digging Deeper.pdf
(257K) -

55 2010 Industry Results.pdf
(252K) -

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52 Market Capacity.pdf
(376K) -

33 Economic Outlook 2010.pdf
(447K) -

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30 Economic Outlook.pdf
(284K) -

29 Insurance New Normal.pdf
(213K) -

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27 1H2009 Results.pdf
(185K) -

26 Wall Street Again.pdf
(448K) -

25 Toxic Assets.pdf
(333K) -

24 Sampling Profits.pdf
(167K) -

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22 BitsnPieces3Q09.pdf
(41K) -

21 BitsnPieces2Q09.pdf
(211K) -

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17 2009 Market Forecast.pdf
(188K) -

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13 BitsnPieces4Q08.pdf
(34K) -

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09 BitsnPieces2Q08.pdf
(255K) -

08 Soft Market Part 2.pdf
(224K) -

07 Soft Market Part 1.pdf
(221K) -

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05 Wall Street.pdf
(183K) -

04 Insurance Exchange.pdf
(204K) -

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02 Here Come the Feds.pdf
(254K) -
