Risk-managing the next generation of savings products
Guidelines necessary to achieve convergence and improve quality of preparations, says Eiopa chairman
This panel will discuss ways to allocate resources and minimize potential exposure with a set of analytical tools to assess, simulate and quantify operational risk capital to improve business efficiency and performance across the enterprise.
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But securitisations still a challenge, say experts
Financing the growth agenda
Regulator seeks harmonised risk management and governance across the industry
The new breed
Head of the PRA plans to use early warning indicators in supervisory work, notwithstanding the risk of EU challenge
Attractive yields and supply demand mismatch spur interest
Steps to improve risk modelling needed if Europe wants insurers to increase cat risk exposure, say experts
Regulator soothes industry concerns over tight compliance deadlines
Standard formula data sets and methodologies 'inappopriate' for securitised products and secured investments, warn experts
Third quantitative impact study and economic impact study to be launched later this year
Fears that global cooperation and coordination initiative is evolving into strict regulatory regime
In response to industry fears of a collateral crunch, regulators have revised the proposed rules on margining for uncleared over-the-counter (OTC) derivatives.You can find out more by downloading this white paper here.