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Handbook of Solvency for Actuaries and Risk Managers - Arne Sandström

Handbook of Solvency for Actuaries and Risk Managers

Theory and Practice

(Autor)

Buch | Hardcover
1114 Seiten
2010
Chapman & Hall/CRC (Verlag)
978-1-4398-2130-5 (ISBN)
CHF 369,95 inkl. MwSt
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Reflecting the author’s wealth of experience in this field, Handbook of Solvency for Actuaries and Risk Managers: Theory and Practice focuses on the valuation of assets and liabilities, the calculation of capital requirement, and the calculation of the standard formula for the European Solvency II project.

The first three sections of the book examine the solvency concept, historical development, and the role of solvency in an enterprise risk management approach. The text provides a general discussion on valuation, investment, and capital, along with modeling and measuring. It also covers dependence, risk measures, capital requirements, subrisks, aggregation, the main risks market, and credit, operational, liquidity, and underwriting risks.

The last three sections focus on the European Solvency II project. Basing the material on CEIOPS final advice, the author presents the general ideas, valuation, investments, and funds of this project as well as the standard formula framework. He also includes all calibrations from previous quantitative impact studies and discusses the political progress of the project.

A one-stop shop for actuaries and risk managers, this handbook offers a complete overview of solvency and the European Solvency II standard formula. It gives a clear definition and broad historical review of solvency and incorporates a comprehensive discussion of the theory behind the calculation of the capital requirement. Updates on solvency projects and issues are available at www.SolvencyII.nu

Arne Sandström is the chief actuary of the Swedish Insurance Federation, where he has worked since 1985. Dr. Sandström is a member of IAA’s Solvency Subcommittee, CEA’s Solvency II Steering Group, and the Groupe Consultatif Pillar I Non-Life Working Group.

Solvency Introduction. Valuation, Investments, and Capital. Modeling and Measuring. The European Solvency II General Ideas, Valuation, and Investment: Final Advice. The European Solvency II Standard Formula: Final Advice. Backgrounds and Calibrations. References. Index.

Erscheint lt. Verlag 19.11.2010
Reihe/Serie Chapman & Hall/CRC Finance Series
Zusatzinfo 146 Tables, black and white; 73 Illustrations, black and white
Sprache englisch
Maße 178 x 254 mm
Gewicht 2230 g
Themenwelt Mathematik / Informatik Mathematik Angewandte Mathematik
Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Versicherungsbetriebslehre
ISBN-10 1-4398-2130-5 / 1439821305
ISBN-13 978-1-4398-2130-5 / 9781439821305
Zustand Neuware
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