Reserve financing using offshore captives is big business in the US. Yet what started as an innovative method of moving excessive reserve requirements off balance sheet has turned, in some regulators’...
Harmonisation of US and global systemic risk frameworks needed as US proposes first Sifis, warns industry think tank
As insurers look for ways to offer long-term guarantees to customers despite the challenging investment environment, some are turning to volatility control mechanisms to reduce the cost of hedging the...
Insurance Risk and BNY Mellon have conducted a survey to look at how insurance companies are preparing for the new regime and the opportunities and challenges that the changes will bring.
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Concerns Solvency II-based risk-free curve could be distorted by speculators as market begins to adjust ALM hedges
UK regulator urged to reconsider proposed early-warning indicators to reflect better changes in economic conditions and not penalise insurers’ de-risking strategies
Low global interest rates look to be set to stay, so Asian insurers are considering their options in the search for yield, with structured products and CLOs on the menu
Swedish regulator will not make guidelines legally binding on firms
Guidelines 'necessary for convergence' but fears of two-speed implementation
Indicators needed to identify situations where a firm's model no longer meets Solvency II calibrations, saya Eiopa
This paper discusses a number of diverse considerations that risk managers need to incorporate into their thought processes and recurring procedures if they are to fulfill their role more effectively in the future
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UK, 13th Feb 2014
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