Risk Management for Insurers: Third Edition - Product Image

Risk Management for Insurers: Third Edition

  • ID: 3291736
  • Book
  • 349 Pages
  • Risk Books
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The introduction of Solvency II will drastically redesign the supervisory rules for regulatory capital for insurance companies. The insurance industry is therefore in desperate need of an up-to-date risk management book which contains a comprehensive exploration of Solvency II before implementation begins. The resilience of risk management systems in anticipation of Solvency II must be ensured.

This incredibly timely new edition of Risk Management for Insurers places this regulation within the wider context of insurance risk management best practice. Industry expert René Doff presents this fully updated accessible reference for the whole insurance industry that newly includes:

- More detailed discussion of Solvency II, with its three pillars examined separately;
- The latest technical guidance from the European Insurance and Occupational Pensions Authority and the European Commission;
- The impact of risk governance and risk culture;
- An up-to-date overview of Basel III; and
- The significance of the International Financial Reporting Standards.
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1. Introduction

2. Risk Management

3. Financial Economics of Insurance

4. Underwriting Risks: Life Risk and Non-life Risk

5. Investment Risks: Market, Credit and Liquidity Risk

6. Non-financial Risks: Operational and Business Risk

7. The Financial Crisis: Consequences for Insurers

8. Insurance Supervision: From Solvency I to Solvency II

9. Insurance Supervision Outside the EU

10. Pillar I of Solvency II

11. Pillar II of Solvency II

12. Pillar III of Solvency II

13. Accounting Regulations

14. Banking Supervision: From Basel I to III

15. Management Control

16. Organising Risk Management

17. Bringing All the Strands Together
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René Doff is an enterprise risk management (ERM) and Solvency II specialist, working as an independent trainer and consultant. He has held positions at various banks and insurance companies across Europe, including the European Insurance Federation, and set up and chaired the first Solvency II working group in the Neth­erlands. In addition to his writing on insurance issues, René edited The Solvency II Handbook: Practical Approaches to Implementation, has contributed to a number of practitioner journals, teaches at the University of Amsterdam and is a frequent speaker at industry conferences.
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