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Insurance Risk Securitisation 2nd Edition
Euromoney Institutional Investor, Pages: 120
An essential guide for issuers and investors. The convergence of the financial markets has made it harder to differentiate between the insurance and capital market industries. This management report management report has been brought completely up-to-date with material reflecting the Insurance Risk Securitisation market as it is today and takes the lid off the most exciting developementin insurance in years. Written concisely and laid out clearly, this definitive guide lays the advantages of securitisation against the disadvantages, answering the most frequently asked questions and providing an informative and instant reference guide. Current trends point to a continued expansion of Insurance Securities, making this report essential reading for all issuers and investors.
Who should read this report? Investors' appetite for risk is growing, while insurers and reinsurers are eager to search out new sources of risk financing. Current trends point to a continued expansion of insurance securities - making this book essential reading for investors, issuers, rating agencies and advisors who need to keep up with market developments.
Taking the view of both issuers and investors, this new management report covers: -Introduction to the securitisation market, SPCs -CAT bonds, the ABS and MBS markets, listed options & exchanges, development of the Japanese market -Modelling and pricing CAT bonds -The value of insurance risk, portfolio theory and modelling -The role of the rating agencies -The major legal issues -Convergence and the future of the market
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