ABSTRACT
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 examin
TABLE OF CONTENTS
part |2 pages
PART B. Valuation, Investments, and Capital
part |2 pages
PART C. Modeling and Measuring
part |2 pages
PART D. European Solvency II General Ideas, Valuation and Investment: Final Advice
part 30|2 pages
Solvency II Standard Formula: Liquidity Risk
part |2 pages
PART F. Backgrounds and Calibrations