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Year of publication
Subject
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Theorie 30 Theory 30 Insurance 27 Versicherung 22 Life insurance 15 Solvency II 15 Life Insurance 14 EU-Versicherungsrecht 13 European insurance law 13 Lebensversicherung 13 Risikomanagement 13 Risk management 13 Risikomodell 12 Risk model 12 Risiko 9 Risk 9 Interest Rate Risk 8 Annuities 7 Portfolio selection 7 Portfolio-Management 7 Interest rate risk 6 Regulation 6 Systemic Risk 6 Systemic risk 6 Systemrisiko 6 Zinsrisiko 6 market discipline 6 Covid-19 5 Financial Stability 5 Mortality 5 Regulierung 5 Sterblichkeit 5 inequality 5 intergenerational persistence 5 transparency 5 Basel Accord 4 Basler Akkord 4 Betriebliche Liquidität 4 Corporate liquidity 4 EU countries 4
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Online availability
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Free 105 Undetermined 1
Type of publication
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Book / Working Paper 106
Type of publication (narrower categories)
All
Working Paper 84 Arbeitspapier 45 Graue Literatur 45 Non-commercial literature 45
Language
All
English 88 Undetermined 18
Author
All
Gründl, Helmut 43 Schlütter, Sebastian 25 Kubitza, Christian 17 Ludwig, Alexander 11 Berdin, Elia 10 Dong, Ming 8 Grochola, Nicolaus 8 Krueger, Dirk 7 Gemmo, Irina 6 Höring, Dirk 6 Popova, Irina 5 Weinert, Jan-Hendrik 5 Browne, Mark Joseph 4 Fuchs-Schündeln, Nicola 4 Glenzer, Franca 4 Regele, Fabian 4 Stoyanova, Rayna 4 Busch, Christopher 3 Paulusch, Joachim 3 Wilde, Christian 3 Zimmer, Anja 3 Aigner, Philipp 2 Fianu, Emmanuel Senyo 2 Fischer, Katharina 2 Getmansky, Mila 2 Götz, Martin 2 Hanewald, Katja 2 Hofmann, Annette 2 Kok Sørensen, Christoffer 2 Kurmann, André 2 Lacava, Chiara 2 Lalé, Etienne 2 Niedrig, Tobias 2 Pancaro, Cosimo 2 Pelizzon, Loriana 2 Post, Thomas 2 Rothschild, Casey G. 2 Schade, Christian D. 2 Siri, Michele 2 Sottocornolay, Matteo 2
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Institution
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International Center for Insurance Regulation, House of Finance 18
Published in...
All
ICIR Working Paper Series 61 Working paper series / International Center for Insurance Regulation 45
Source
All
ECONIS (ZBW) 49 EconStor 39 RePEc 18
Showing 51 - 60 of 106
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Corporate governance of insurance firms after Sovency II
Siri, Michele - 2017
Under Solvency II, corporate governance requirements are a complementary, but nonetheless essential, element to build a sound regulatory framework for insurance undertakings, also to address risks not specifically mitigated by the sole solvency capital requirements. After recalling the...
Persistent link: https://www.econbiz.de/10011651132
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Scenario-based capital requirements for the interest rate risk of insurance companies
Schlütter, Sebastian - 2017
The Solvency II standard formula measures interest rate risk based on two stress scenarios which are supposed to reflect the 1-in-200 year event over a 12-month time horizon. The calibration of these scenarios appears much too optimistic when comparing them against historical yield curve...
Persistent link: https://www.econbiz.de/10011651136
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Transparency aversion and insurance market equilibria
Gemmo, Irina; Browne, Mark Joseph; Gründl, Helmut - 2017
Telemonitoring devices can be used to screen consumers' characteristics and mitigate information asymmetries that lead to adverse selection in insurance markets. However, some consumers value their privacy and dislike sharing private information with insurers. In the second-best efficient...
Persistent link: https://www.econbiz.de/10011724373
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The Modern Tontine : An Innovative Instrument for Longevity Risk Management in an Aging Society
Weinert, Jan-Hendrik - 2017
The changing social, financial and regulatory frameworks, such as an increasingly aging society, the current low interest rate environment, as well as the implementation of Solvency II, lead to the search for new product forms for private pension provision. In order to address the various...
Persistent link: https://www.econbiz.de/10012941322
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Systemic risk: Time-lags and persistence
Kubitza, Christian; Gründl, Helmut - 2016
Common systemic risk measures focus on the instantaneous occurrence of triggering and systemic events. However, systemic events may also occur with a time-lag to the triggering event. To study this contagion period and the resulting persistence of institutions' systemic risk we develop and...
Persistent link: https://www.econbiz.de/10011480367
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A stochastic forward-looking model to assess the profitability and solvency of European insurers
Berdin, Elia; Pancaro, Cosimo; Kok Sørensen, Christoffer - 2016
In this paper, we develop an analytical framework for conducting forward-looking assessments of profitability and solvency of the main euro area insurance sectors. We model the balance sheet of an insurance company encompassing both life and non-life business and we calibrate it using country...
Persistent link: https://www.econbiz.de/10011480368
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The modern tontine: An innovative instrument for longevity risk management in an aging society
Weinert, Jan-Hendrik; Gründl, Helmut - 2016
The changing social, financial and regulatory frameworks, such as an increasingly aging society, the current low interest rate environment, as well as the implementation of Solvency II, lead to the search for new product forms for private pension provision. In order to address the various...
Persistent link: https://www.econbiz.de/10011516470
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Interest rate risk, longevity risk and the solvency of life insurers
Berdin, Elia - 2016
In this paper I assess the effect of interest rate risk and longevity risk on the solvency position of a life insurer selling policies with minimum guaranteed rate of return, profit participation and annuitization option at maturity. The life insurer is assumed to be based in Germany and...
Persistent link: https://www.econbiz.de/10011539415
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Life insurance and demographic change: An empirical analysis of surrender decisions based on panel data
Gemmo, Irina; Götz, Martin - 2016
Households buy life insurance as part of their liquidity management. The option to surrender such a policy can serve as a buffer when a household faces a liquidity need. In this study, we investigate empirically which individual and household specific sociodemographic factors influence the...
Persistent link: https://www.econbiz.de/10011589610
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Systemic risk : time-lags and persistence
Kubitza, Christian; Gründl, Helmut - 2016 - This version: May 2016
Common systemic risk measures focus on the instantaneous occurrence of triggering and systemic events. However, systemic events may also occur with a time-lag to the triggering event. To study this contagion period and the resulting persistence of institutions' systemic risk we develop and...
Persistent link: https://www.econbiz.de/10011478661
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