2 years of Solvency II from a European point of view

2 years of Solvency II from a European point of view

188 Views
Added in AFIR / ERM / RISK

Thanks! Share it with your friends!

URL

You disliked this video. Thanks for the feedback!

Sorry, only registred users can create playlists.
URL

Description:

Speaker(s): Thomas Behar (CNP assurances)

Actuarial association of Europe will organize a slot with presentations and a panel discussion.

The topic , 2 years of Solvency II from a European point of view, will bring together pratical experience from different point of views, insurer, supervisors, actuaries. It will look at the three pillars and will try to draw lessons for the next review of solvency 2 regulation.

Discussion may be organized according to the following topics that are of interest for the profession :

  • volatility of the measure
  • corrections to bring to the standard formula
  • capital comparison between actors
  • impact of the standard formula on the activity
  • interaction between the actuarial function and the risk management function
  • use of the actuarial report
  • practice of internal model and management of model change
  • frequency of the ORSA and insertion in the management dècisions
  • SFCR disclosures

Post your comment

Sign in or sign up to post comments.
Be the first to comment