30 results on '"*CAPITAL requirements"'
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2. Solvency Assessment for Insurance Groups in the United States and Europe—A Comparison of Regulatory Frameworks
3. Risk Measures and Capital Requirements: A Critique of the Solvency II Approach
4. Will Solvency II Market Risk Requirements Bite? The Impact of Solvency II on Insurers' Asset Allocation
5. A Comparative Assessment of Basel II/III and Solvency II
6. Market Consistent ALM for Life Insurers—Steps toward Solvency II
7. How Much Capital Does a Reinsurance Need?
8. Solvency II: Setting the Pace for Regulatory Change
9. The United States RBC Standards, Solvency II and the Swiss Solvency Test: A Comparative Assessment
10. How do We Square the Circle between Accounting and Solvency?
11. The Relevance of Portfolio Management Action for Solvency Measurement
12. The Swiss Solvency Test and its Market Implications
13. A Critical Analysis of the Solvency II Proposals
14. Solvency II and the Work of CEIOPS
15. International Solvency Requirements - Towards more Risk-based Regimes
16. Group Diversification
17. Using External Data in Operational Risk
18. Insurance, Finance, Solvency II and Financial Market Interaction
19. Do Micro Health Insurance Units Need Capital or Reinsurance? A Simulated Exercise to Examine Different Alternatives
20. Risk Models for Capital Adequacy: Applications in the Context of Solvency II and Beyond
21. Future Financial Frameworks — Essentials for Risk-Based Capital Management
22. Stochastic Modelling — Boon or Bane for Insurance Industry Capital Regulation?
23. Insurers are not Banks: Assessing Liquidity, Efficiency and Solvency Risk Under Alternative Approaches to Capital Adequacy
24. IAIS and Recent Developments in Insurance Regulation
25. Capital Adequacy and Risk Management in Insurance
26. Current Priorities in International Standard Setting on Insurance Supervision
27. The Economics of Capital Regulation in Financial Conglomerates
28. Comments on Stephen Ross's Paper on "Financial Regulation for the New Millennium"
29. Remarks on the American Risk Based Capital Model
30. Some Issues in Risk-Based Capital
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