This subject gateway aims to supply links to some of the
resources on Solvency II increasingly available to members via
Knowledge Services. It is not intended to be exhaustive, but
highlights popular content and recent additions.
View all eBooks on this
- Solvency II's market risk standard fornula: how
credible is the proclaimed ruin
probability? Alexander Braun et al. Journal of
Insurance Issues. Spring2015, Vol. 38 Issue 1, p1-30.
- The prudential regulation of insurers under Solvency II. Robin
Swain, David Swallow. Bank of England Quarterly Bulletin. 2015
2nd Quarter, Vol. 55 Issue 2, p139-152. 14p. Available via http://www.bankofengland.co.uk/.
- Optimal investment and premium policies under risk
shifting and Solvency regulation. Damir Filipovic et
al. Journal of Risk & Insurance; Jun2015, Vol.
82 Issue 2, p261-288, 28p
Solvency II's market risk standard formula: how credible is the
proclaimed ruin probability?. Alexande Braun, et al. Journal of
Insurance Issues.Spring2015, Vol. 38 Issue 1, p1-30.
- Basis risk, procyclicality, and systemic risk in
the Solvency II equity risk module. Martin Ellig, David
Pankoke. Journal of Insurance regulation, 2015, Vol 33,
- Optimal asset allocation for interconnected life
insurers in the low interest rate environment under solvency
regulation. Tobias Niedrig. Journal of Insurance Issues.
Spring2015, Vol. 38 Issue 1, p31-71.
View all articles on this topic »
View all lectures on this topic »
Fact files, reports and technical resources
Members have access to
Risk.net, the world's leading source of
exclusive, in-depth news and analysis delivering the latest
breaking developments in risk management, derivatives pricing and
trading, banking regulation, law and documentation, exchanges,
clearing and settlement. Its in-depth and analytical
content gives its readers the knowledge to make informed decisions
to help their organizations navigate the maze of new financial
regulations being introduced around the globe and mitigate market,
credit and operational risk.
- A practitioner's guide to Solvency II. Geoffrey Maddock, et al.
London: Thomson reuters, 2016.
- The Iskaboo guide to Part VII Transfers. Barbara Hadley, James
Dewi (eds.). Iskaboo, 2016.
- ORSA: design and implementation. Bogie Ozdemir. London: Risk
- Risk management for insurers: risk control, economic capital,
Solvency II. Rene Dorf. London: Risk Books, 2015.
- Internal models and Solvency II: from regulation to
implementation. Paolo Cadoni (ed.). London: Risk Books, 2014.
- Solvency II handbook: practical approaches to implementation.
Rene Dorf. London: Risk Books, 2014.
View all hardcopy books on this subject »
You can borrow up to 6 books at a time for 28 days (renewable).
To borrow any of these books, please call the library on 0207 417
3574 or email email@example.com. Access further details on
our lending service here. Please contact firstname.lastname@example.org should
you wish to receive via email a copy of any of the above articles.
Please note, under UK Copyright Law the number of copies we are
able to email is restricted to one article per issue per member.
Also, charges apply. per issue per member.
Also, charges apply.