Handbook Of Solvency For Actuaries And Risk Managers

Theory And Practice

por Sandstrom, Arne
Handbook Of Solvency For Actuaries And Risk Managers
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ISBN: 978-1-4398-2130-5
Editorial: Routledge
Fecha de la edición: 2010
Dimensiones: 0 cm x 0 cm
Nº Pág.: 936

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pvp.129.55 €

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Resumen del libro

Reseña: Serving as a one-stop shop for actuaries and risk managers, this handbook presents a complete overview of solvency and the European Solvency II standard formula. It discusses the development of solvency and risk management as well as the modeling and calibration of the specific standard formula developed for Solvency II. In addition to a historical review of solvency and risk management, the book covers the modeling of capital charges in a general setting and highlights important concepts in enterprise risk management, such as dependence (copula), properties of risk measures, non-normality, and non-linearity
indice: Solvency Introduction. Valuation, Investment, and Capital. The European Solvency II Valuation and Investment. Modeling and Measuring. The European Solvency II Standard Formula. The European Solvency II Standard Formula—Final Advice. Appendices

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