Contenido multimedia no disponible por derechos de autor o por acceso restringido. Contacte con la institución para más información.
MAP20100076538Solvency 2 : quantitative & strategic impact : the tide is going out. — New York [etc.] : Oliver Wyman : Morgan Stanley, 2010Sumario: Aggregate Impact of Solvency 2: key strategic conclusions -- The quantitative impact of Solvency 2 (QIS5): our model outputs -- Key outstanding debates -- Implications for life insurance products -- Implications for Non-life and reinsurance -- Implications for asset-liability management -- Internal models : adoption likely by all the major players -- How insurers might adapt corporate structures -- Appendix: a guide to Solvency 21. Solvencia II. 2. QIS5. 3. Control interno. 4. Empresas de seguros. 5. Estrategia organizativa. I. Oliver Wyman. II. Morgan Stanley Dean Witter. III. Title.