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Handbook of solvency for actuaries a...
~
Sandström, Arne.
Handbook of solvency for actuaries and risk managers[electronic resource] :theory and practice /
紀錄類型:
書目-語言資料,印刷品 : Monograph/item
杜威分類號:
368.001
書名/作者:
Handbook of solvency for actuaries and risk managers : theory and practice // Arne Sandström.
作者:
Sandström, Arne.
出版者:
Boca Raton, FL : : CRC Press,, c2011.
面頁冊數:
1 online resource (lviii, 1055 p.) : : ill.
標題:
Risk (Insurance)
標題:
Risk (Insurance) - European Union countries.
標題:
Asset-liability management.
標題:
Asset-liability management - European Union countries.
標題:
Risk management.
標題:
Risk management - European Union countries.
ISBN:
9781439821329 (electronic bk.)
ISBN:
1439821321 (electronic bk.)
書目註:
Includes bibliographical references and index.
內容註:
Front cover; Contents; Preface; Reader's Guide; Web Site Information; Future Information; Abbreviations; PART A. Solvency Introduction; Chapter 1. Solvency; Chapter 2. A Historical Review; Chapter 3. Managing Risks and the Enterprise; Chapter 4. Summary of the Development of ERM and Solvency; Chapter 5. Elements of Solvency Assessment Systems; PART B. Valuation, Investments, and Capital; Chapter 6. Total Balance Sheet Approach; Chapter 7. Asset Valuation; Chapter 8. Liability Valuation; Chapter 9. Other Valuation Issues; Chapter 10. Investments and Own Funds; Chapter 11. Accounting Valuation
摘要、提要註:
Reflecting the author's wealth of experience in this field, Handbook of Solvency for Actuaries and Risk Managers: Theory and Practice focuses on the valuation of assets and liabilities, the calculation of capital requirement, and the calculation of the standard formula for the European Solvency II project. The first three sections of the book examine the solvency concept, historical development, and the role of solvency in an enterprise risk management approach. The text provides a general discussion on valuation, investment, and capital, along with modeling and measuring. It also covers depen.
電子資源:
http://www.crcnetbase.com/isbn/978-1-4398-2130-5
Handbook of solvency for actuaries and risk managers[electronic resource] :theory and practice /
Sandström, Arne.
Handbook of solvency for actuaries and risk managers
theory and practice /[electronic resource] :Arne Sandström. - Boca Raton, FL :CRC Press,c2011. - 1 online resource (lviii, 1055 p.) :ill. - Chapman & Hall/CRC finance series. - Chapman & Hall/CRC finance series..
Includes bibliographical references and index.
Front cover; Contents; Preface; Reader's Guide; Web Site Information; Future Information; Abbreviations; PART A. Solvency Introduction; Chapter 1. Solvency; Chapter 2. A Historical Review; Chapter 3. Managing Risks and the Enterprise; Chapter 4. Summary of the Development of ERM and Solvency; Chapter 5. Elements of Solvency Assessment Systems; PART B. Valuation, Investments, and Capital; Chapter 6. Total Balance Sheet Approach; Chapter 7. Asset Valuation; Chapter 8. Liability Valuation; Chapter 9. Other Valuation Issues; Chapter 10. Investments and Own Funds; Chapter 11. Accounting Valuation
Reflecting the author's wealth of experience in this field, Handbook of Solvency for Actuaries and Risk Managers: Theory and Practice focuses on the valuation of assets and liabilities, the calculation of capital requirement, and the calculation of the standard formula for the European Solvency II project. The first three sections of the book examine the solvency concept, historical development, and the role of solvency in an enterprise risk management approach. The text provides a general discussion on valuation, investment, and capital, along with modeling and measuring. It also covers depen.
ISBN: 9781439821329 (electronic bk.)Subjects--Topical Terms:
199513
Risk (Insurance)
Index Terms--Genre/Form:
336502
Electronic books.
LC Class. No.: HG8054.5 / .S26 2011eb
Dewey Class. No.: 368.001
Handbook of solvency for actuaries and risk managers[electronic resource] :theory and practice /
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Reflecting the author's wealth of experience in this field, Handbook of Solvency for Actuaries and Risk Managers: Theory and Practice focuses on the valuation of assets and liabilities, the calculation of capital requirement, and the calculation of the standard formula for the European Solvency II project. The first three sections of the book examine the solvency concept, historical development, and the role of solvency in an enterprise risk management approach. The text provides a general discussion on valuation, investment, and capital, along with modeling and measuring. It also covers depen.
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http://www.crcnetbase.com/isbn/978-1-4398-2130-5
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