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Trotz einer grundsätzlich positiven Ausgangslage mehren sich die Stimmen, dass in den kommenden Jahren mit erheblichen Umwälzungen in der Schweizerischen Assekuranz zu rechnen ist. Vor diesem Hintergrund beschreibt die vorliegende Studie den heutigen Stand der Assekuranz und zeigt acht...
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We consider the issue of optimizing an insurance company's asset allocation in the context of portfolio theory when the firm needs to adhere to the market risk capital requirements of Solvency II. The discussion starts with a brief review of the standard formula and the introduction of a...
Persistent link: https://www.econbiz.de/10013079310
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Trotz einer grundsätzlich positiven Ausgangslage mehren sich die Stimmen, dass in den kommenden Jahren mit erheblichen Umwälzungen in der Schweizerischen Assekuranz zu rechnen ist. Vor diesem Hintergrund beschreibt die vorliegende Studie den heutigen Stand der Assekuranz und zeigt acht...
Persistent link: https://www.econbiz.de/10012210249
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We take a detailed look at the current InsurTech landscape from the angle of the academic management literature. Our main goals are to establish a common understanding of key concepts, to facilitate the navigation of this rapidly evolving sector, and to provide an intuitive toolkit for an...
Persistent link: https://www.econbiz.de/10012318598
Established risk-adjusted investment performance measures such as the Sharpe, the Sortino or the Calmar Ratio have been developed with an exclusive focus on the mutual and hedge fund industries. Consequently, they are less suited for liability-driven investors such as life insurance companies,...
Persistent link: https://www.econbiz.de/10012860231
We take a detailed look at the current InsurTech landscape from the angle of the academic management literature. Our main goals are to establish a common understanding of key concepts, to facilitate the navigation of this rapidly evolving sector, and to provide an intuitive toolkit for an...
Persistent link: https://www.econbiz.de/10012210250