Models, Assessment and Regulation
Buch, Englisch, 448 Seiten, Format (B × H): 155 mm x 231 mm, Gewicht: 612 g
ISBN: 978-0-367-39214-7
Verlag: CRC Press
Following an introduction to the concept, the first section of the book provides a historical review of solvency, detailing solvency regulation and accounting within the EU. A review of the steps leading to Solvency II looks at accounting, supervision, the actuarial field, the first phase of Solvency II, international approaches to banking, and the solvency systems of 12 major nations.
The second section explores the current basis for solvency modeling, focusing on the valuation of assets and liabilities, dependency and various conservative approaches, as well as a baseline and benchmark approach. This section also provides examples of risk structure and the effects of diversification.
The final section discusses groups and internal modeling as it relates to EU Solvency II. It addresses insurance groups, financial conglomerates, reinsurance, the importance of internal modeling and stress testing, and the current state of the second phase of EU Solvency II.
Zielgruppe
Professional Practice & Development
Autoren/Hrsg.
Fachgebiete
Weitere Infos & Material
Past and Present: a Historical Review and Different Approaches to Solvency. Present: Modeling a Standard Approach. Present and Future: EU Solvency II - Phase 2: Groups and Internal Modeling in Brief.