Insurance Risk - May 2015
Articles in this issue
EU infrastructure funding risks ‘crowding out' insurers
Strategic fund could force down yields, says Insurance Europe
Markets specialists make push into VA modelling
Actuarial system vendors face growing competition
Insurers count cost as supervisors embrace RRPs
Recovery plans catching on as domestic regulatory tool
BoE challenged US Treasury on G-Sii status of Berkshire Hathaway
Disagreement among FSB members pointed to by BoE letter
UK life firms rethink forex hedging after PRA note
Matching adjustment applicants using forex forwards have little time to adjust
PRA view on sovereign risk hedging too simplistic, say experts
UK regulator failing to consider complexities of risk free rate
‘Fixed is fixed’ – DNB stands firm on matching adjustment
Dutch regulator unmoved on mortgages and group pensions
Q&A: Standard Life's Singh on changes in risk management
Regulation and tough markets put risk centre-stage, says CRO
Better together: insurers hear case for op risk unity
Firms seeking common ground in the modelling of operational risk
Conduct remedies should focus on value not price
Regulator overlooking wider customer benefits, says PwC's Steve Folkard
A paradigm shift on sovereign risk
Opinions changing on capital treatment of government bonds