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Essays On Risk Performance And Solvency In The Financial Services Industry


Essays On Risk Performance And Solvency In The Financial Services Industry
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Essays On Risk Performance And Solvency In The Financial Services Industry


Essays On Risk Performance And Solvency In The Financial Services Industry
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Author : Martin Eling
language : en
Publisher:
Release Date : 2008

Essays On Risk Performance And Solvency In The Financial Services Industry written by Martin Eling and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2008 with categories.




Essays On Risk Based Capital Standards Group Regulation And The Measurement Of Model Uncertainty In The Insurance Industry


Essays On Risk Based Capital Standards Group Regulation And The Measurement Of Model Uncertainty In The Insurance Industry
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Author : Caroline Franziska Siegel
language : en
Publisher:
Release Date : 2012

Essays On Risk Based Capital Standards Group Regulation And The Measurement Of Model Uncertainty In The Insurance Industry written by Caroline Franziska Siegel and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2012 with categories.


During the last decade, the financial industry has faced several financial crises. Insurance supervisors have reacted by revising the existing regulatory frameworks as well as developing and implementing new solvency models. The economic research of the challenges to the insurance industry arising from these new regulatory systems is therefore an important and contemporary task. This doctoral thesis, which comprises four research papers, seeks to gain new insights into the field of regulation and the solvency assessment of insurance companies. The first paper "The Impact of Private Equity on a Life Insurer's Capital Charges under Solvency II and the Swiss Solvency Test" is an empirical analysis of the performance of the asset class private equity regarding both its risk-return profile and its impact on an insurer's capital requirements under the Solvency II framework of the European Union as well as Switzerland's Solvency Test. We review the standard market risk models and also propose an approach for an internal model. We show that although the risk-return profile of private equity suggests a solid performance in relation to various other asset classes, the standard approaches of Solvency II and the Swiss Solvency Test overly penalize the asset class in terms of capital requirements. The following two research papers pertain to the area of solvency assessment for insurance groups. The paper "Solvency Assessment for Insurance Groups in the United States and Europe - a Comparison of Regulatory Frameworks" is an overview and comparison of three innovative group solvency frameworks: the National Association of Insurance Commissioners approach of the United States, the group structure model of Switzerland, and the Solvency II proposal on group solvency assessment. This comparison is based on the recently established criteria for a thorough group solvency approach of the International Association of Insurance Supervisors' Issues Paper.



Essays On Risk Based Capital Standards Group Regulation And The Measurement Of Model Uncertainty In The Insurance Industry Kumulative Dissertation


Essays On Risk Based Capital Standards Group Regulation And The Measurement Of Model Uncertainty In The Insurance Industry Kumulative Dissertation
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Author : Caroline Franziska Siegel
language : en
Publisher:
Release Date : 2012

Essays On Risk Based Capital Standards Group Regulation And The Measurement Of Model Uncertainty In The Insurance Industry Kumulative Dissertation written by Caroline Franziska Siegel and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2012 with categories.




Essays On Operational Risk In The Financial Services Industry


Essays On Operational Risk In The Financial Services Industry
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Author : Christian Hess
language : en
Publisher:
Release Date : 2011

Essays On Operational Risk In The Financial Services Industry written by Christian Hess and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2011 with categories.




Essays On Risk Management Risk Assessment And Asymmetric Information In The Financial Service Industry


Essays On Risk Management Risk Assessment And Asymmetric Information In The Financial Service Industry
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Author : Thomas Parnitzke
language : en
Publisher:
Release Date : 2009

Essays On Risk Management Risk Assessment And Asymmetric Information In The Financial Service Industry written by Thomas Parnitzke and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2009 with categories.




Powering The Digital Economy Opportunities And Risks Of Artificial Intelligence In Finance


Powering The Digital Economy Opportunities And Risks Of Artificial Intelligence In Finance
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Author : El Bachir Boukherouaa
language : en
Publisher: International Monetary Fund
Release Date : 2021-10-22

Powering The Digital Economy Opportunities And Risks Of Artificial Intelligence In Finance written by El Bachir Boukherouaa and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2021-10-22 with Business & Economics categories.


This paper discusses the impact of the rapid adoption of artificial intelligence (AI) and machine learning (ML) in the financial sector. It highlights the benefits these technologies bring in terms of financial deepening and efficiency, while raising concerns about its potential in widening the digital divide between advanced and developing economies. The paper advances the discussion on the impact of this technology by distilling and categorizing the unique risks that it could pose to the integrity and stability of the financial system, policy challenges, and potential regulatory approaches. The evolving nature of this technology and its application in finance means that the full extent of its strengths and weaknesses is yet to be fully understood. Given the risk of unexpected pitfalls, countries will need to strengthen prudential oversight.



Macroprudential Solvency Stress Testing Of The Insurance Sector


Macroprudential Solvency Stress Testing Of The Insurance Sector
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Author : Mr.Andreas A. Jobst
language : en
Publisher: International Monetary Fund
Release Date : 2014-07-22

Macroprudential Solvency Stress Testing Of The Insurance Sector written by Mr.Andreas A. Jobst and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-07-22 with Business & Economics categories.


Over the last decade, stress testing has become a central aspect of the Fund’s bilateral and multilateral surveillance work. Recently, more emphasis has also been placed on the role of insurance for financial stability analysis. This paper reviews the current state of system-wide solvency stress tests for insurance based on a comparative review of national practices and the experiences from Fund’s FSAP program with the aim of providing practical guidelines for the coherent and consistent implementation of such exercises. The paper also offers recommendations on improving the current insurance stress testing approaches and presentation of results.



Global Financial Stability Report October 2019


Global Financial Stability Report October 2019
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Author : International Monetary Fund. Monetary and Capital Markets Department
language : en
Publisher: International Monetary Fund
Release Date : 2019-10-16

Global Financial Stability Report October 2019 written by International Monetary Fund. Monetary and Capital Markets Department and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2019-10-16 with Business & Economics categories.


The October 2019 Global Financial Stability Report (GFSR) identifies the current key vulnerabilities in the global financial system as the rise in corporate debt burdens, increasing holdings of riskier and more illiquid assets by institutional investors, and growing reliance on external borrowing by emerging and frontier market economies. The report proposes that policymakers mitigate these risks through stricter supervisory and macroprudential oversight of firms, strengthened oversight and disclosure for institutional investors, and the implementation of prudent sovereign debt management practices and frameworks for emerging and frontier market economies.



Global Financial Stability Report April 2021


Global Financial Stability Report April 2021
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Author : International Monetary Fund
language : en
Publisher: International Monetary Fund
Release Date : 2021-04-06

Global Financial Stability Report April 2021 written by International Monetary Fund and has been published by International Monetary Fund this book supported file pdf, txt, epub, kindle and other format this book has been release on 2021-04-06 with Business & Economics categories.


Extraordinary policy measures have eased financial conditions and supported the economy, helping to contain financial stability risks. Chapter 1 warns that there is a pressing need to act to avoid a legacy of vulnerabilities while avoiding a broad tightening of financial conditions. Actions taken during the pandemic may have unintended consequences such as stretched valuations and rising financial vulnerabilities. The recovery is also expected to be asynchronous and divergent between advanced and emerging market economies. Given large external financing needs, several emerging markets face challenges, especially if a persistent rise in US rates brings about a repricing of risk and tighter financial conditions. The corporate sector in many countries is emerging from the pandemic overindebted, with notable differences depending on firm size and sector. Concerns about the credit quality of hard-hit borrowers and profitability are likely to weigh on the risk appetite of banks. Chapter 2 studies leverage in the nonfinancial private sector before and during the COVID-19 crisis, pointing out that policymakers face a trade-off between boosting growth in the short term by facilitating an easing of financial conditions and containing future downside risks. This trade-off may be amplified by the existing high and rapidly building leverage, increasing downside risks to future growth. The appropriate timing for deployment of macroprudential tools should be country-specific, depending on the pace of recovery, vulnerabilities, and policy tools available. Chapter 3 turns to the impact of the COVID-19 crisis on the commercial real estate sector. While there is little evidence of large price misalignments at the onset of the pandemic, signs of overvaluation have now emerged in some economies. Misalignments in commercial real estate prices, especially if they interact with other vulnerabilities, increase downside risks to future growth due to the possibility of sharp price corrections.



Essays In Risk Management


Essays In Risk Management
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Author : Amiyatosh Kumar Purnanandam
language : en
Publisher:
Release Date : 2005

Essays In Risk Management written by Amiyatosh Kumar Purnanandam and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2005 with categories.