An effective equity model allowing long term investments within the framework of Solvency II
Year of publication: |
2013-05-15
|
---|---|
Authors: | Majri, Mohamed ; Lauzon, François-Xavier De |
Institutions: | HAL |
Subject: | Value-At-Risk | Long term Equity Risk Assessment | Solvency II | Dampener | Standard Formula | Back Testing |
-
Gylys, Rokas, (2019)
-
Gylys, Rokas, (2019)
-
The Solvency II Standard Formula, linear geometry, and diversification
Paulusch, Joachim, (2017)
- More ...
-
A Conditional Equity Risk Model for Regulatory Assessment
Floryszczak, Anthony, (2016)
-
Floryszczak, Anthony, (2017)
-
Credit Risk and Solvency Capital Requirements
Allali, Jérémy, (2019)
- More ...