Solvency II in the Insurance Industry : Application of a Non-Life Data Model
2018 ed.
Book Details
Format
Hardback or Cased Book
Book Series
Contributions to Management Science
ISBN-10
3319770594
ISBN-13
9783319770598
Edition
2018 ed.
Publisher
Springer International Publishing AG
Imprint
Springer International Publishing AG
Country of Manufacture
CH
Country of Publication
GB
Publication Date
Mar 7th, 2019
Print length
219 Pages
Weight
518 grams
Dimensions
20.40 x 24.10 x 2.10 cms
Product Classification:
Risk assessmentEconomics, finance, business & managementEconomics, Finance, Business and ManagementCorporate financeInsurance & actuarial studiesInsurance and actuarial studiesManagement & management techniquesManagement and management techniquesCorporate governanceCorporate governance: role and responsibilities of boards and directorsHospitality and service industriesFinancial services industryProbability & statisticsProbability and statistics
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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 Köln - 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 Köln - University of Applied Sciences (Germany).
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