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Solvency II in the Insurance Industry: Application of a Non-Life Data Model 2018 Edition
Contributor(s): Heep-Altiner, Maria (Editor), Mullins, Martin (Editor), Rohlfs, Torsten (Editor)
ISBN: 3319770594     ISBN-13: 9783319770598
Publisher: Springer
OUR PRICE:   $170.99  
Product Type: Hardcover
Published: March 2019
Qty:
Additional Information
BISAC Categories:
- Business & Economics | Insurance - Risk Assessment & Management
- Business & Economics | Corporate Finance - General
- Business & Economics | Statistics
Dewey: 330.015
Series: Contributions to Management Science
Physical Information: 0.56" H x 6.14" W x 9.21" (1.14 lbs) 219 pages
 
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Publisher Description:

This book illustrates the EU-wide Solvency II framework for the insurance industry, which was implemented on January 1, 2016, after a long project phase. Analogous to the system for banks, it is based on three pillars and the authors analyze the complete framework pillar by pillar with a consistent data model for a non-life insurer, which was developed by the Research Group Financial & Actuarial Risk Management (FaRis) at the Institute for Insurance Studies of the TH K ln - University of Applied Sciences. The book leverages the long-standing and close cooperation between the University of Limerick (Ireland) and the Institute for Insurance Studies at TH K ln - University of Applied Sciences (Germany).