Insurance Risk - Insurance Risk June 2013
Articles in this issue
‘Prescriptive’ ComFrame criticised by American insurance industry
Fears that global cooperation and coordination initiative is evolving into strict regulatory regime
Unprepared insurers delay South Africa's risk-based solvency regime
Third quantitative impact study and economic impact study to be launched later this year
Standard formula’s treatment of long-term investments 'flawed'
Standard formula data sets and methodologies 'inappopriate' for securitised products and secured investments, warn experts
Better risk data vital if insurers to boost disaster coverage
Steps to improve risk modelling needed if Europe wants insurers to increase cat risk exposure, say experts
US insurers target European commercial real estate debt
Attractive yields and supply demand mismatch spur interest
UK regulator right to retain flexibility to force changes on internal models
Head of the PRA plans to use early warning indicators in supervisory work, notwithstanding the risk of EU challenge
Insurers bolster inflation protection
Hedging assets sought to combat escalating risk of interest rate and inflation spike
UK annuity providers review credit risk strategies
Balancing act
The infrastructure investment challenge for insurers
Financing the growth agenda
LPI swaps with a smile
LPI swaps with a smile
Risk-managing the next generation of savings products
Risk-managing the next generation of savings products