C-suite command centre

Enterprise Balance Sheet Management

One connected view across earnings, capital, value and risk.

Data as of Aug 28, 2026 · 15:30 ET
● All systems nominal
Economic ROE01
18.1%
▲ 1.3 pp vs. current
Capital Ratio02
188.5%
▲ 10.5 pp vs. current
Net Income03
1,057$m
▲ $83m vs. current
Economic Value04
6,876$m
▲ 3.4% vs. current
PVDE05
5,659$m
▲ 2.7% vs. current
Core Earnings06
958$m
▲ 5.2% vs. current

Enterprise risk exposure

Tested exposure relative to approved limit
9 risk lenses
Interest rate
68% Credit spread
76% Credit default
57% Currency
42% Market
63% Liquidity
51% Mortality
48% Lapse
61% Operational
36%

Return & capital drivers

Numerator and denominator transparency
Tested
188.5%Capital ratio
ROE numerator$1,057m
Average equity$5,841m
Available capital$5,075m
Required capital$2,692m

Capital requirement

Diversified economic capital by risk
USD
Market31% Insurance24% Credit17% Liquidity14% Operational9% Other5%

Illustrative market feed

12-month composite market conditions
Simulated live
104.8
Market conditions index
▲ 2.6% MTD
10Y Treasury4.18%−4 bps
IG spread92 bps−3 bps
Equity vol15.7−0.8

Optimization surface

Expected ROE against economic capital usage
Efficient frontier
Current · 16.8%
Tested · 18.1% Capital utilization →Expected ROE →

Strategic asset allocation

Current portfolio versus tested position
SAA
Expected total return6.4%
Actual investment income$2.93B
Asset classCurrentTested Investment-grade bonds32%27% Private credit ↗18%23% High-yield bonds10%10% Equities8%9% Real assets6%6% Cash & short duration6%5% Other / alternatives20%20%
Illustrative static prototype. Figures are mock data and do not represent an actual insurer, portfolio, recommendation or live market feed.