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The aim of this paper is to compare pricing and performance of mutual funds with two types of guarantees: a look back guarantee and an interest rate guarantee. In a simulation analysis of different portfolios based on stock, bond, real estate, and money market indices, we first calibrate...
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In general, conglomeration leads to diversification of risk (the diversification benefit) and a decrease in shareholder value (the conglomerate discount). Diversification benefits in financial conglomerates are typically derived without explicitly accounting for reduced shareholder value....
Persistent link: https://www.econbiz.de/10013127536
In financial groups, enterprise risk management is becoming increasingly important in controlling and managing the different independent legal entities in the group. The aim of this paper is to assess and relate risk concentration and joint default probabilities of the group's legal entities in...
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Die Dynamische Finanzanalyse (DFA) hat sich in den vergangenen Jahren zu einemwichtigen Instrument zur Analyse der Finanzlage eines Versicherungsunternehmens entwickelt.Trotz der zunehmenden Verbreitung der DFA in der Praxis und zahlreicher Abhandlungenin der wissenschaftlichen Literatur gibt es...
Persistent link: https://www.econbiz.de/10005861475
Dynamic financial analysis (DFA) has become an important tool in analyzing thefinancial situation of insurance companies. Constant development and documentationof DFA tools has occurred during the last years. However, several questionsconcerning the implementation of DFA systems have not been...
Persistent link: https://www.econbiz.de/10005861514
As early as the 1970s, European Union (EU) member countries implemented rulesto coordinate insurance markets and regulation. However, with the more recentmovement toward a general single EU market, financial services regulation hastaken on new meaning and priority. Solvency I regulations went...
Persistent link: https://www.econbiz.de/10005861545
Die von Investmentgesellschaften durch den Verkauf von Produkten mit integrierterfinanzwirtschaftlicher Garantie eingegangenen Verpflichtungen sollten im Sinne eines„true and fair view“ bilanziell adäquat erfasst werden. Wir ermitteln anhandzweier aktueller Investmentprodukte den Fair Value...
Persistent link: https://www.econbiz.de/10005861553