News/Insurance
Concerns that Eiopa's proposals will not work and could delay Solvency II
Solvency II calibrations need to account for different national contexts
Let commercial market price risk, while governments should focus on risk-reduction, think-tank says
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
More News/Insurance articles
Structuring and regulation of assets frustrating investment, say market participants
Harmonisation of US and global systemic risk frameworks needed as US proposes first Sifis, warns industry think tank
Requirements should not be made too prescriptive, says trade association
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
Swedish regulator will not make guidelines legally binding on firms
Guidelines 'necessary for convergence' but fears of two-speed implementation
Technology can provide a competitive advantage in banking. How it is applied by Tier 1 and Tier 2 institutions, to the benefit for their risk management systems, is discussed.
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