RISK MANAGEMENT FOR INSURERS (SECOND EDITION)
Book ID/图书代码: 14936112B55334
English Summary/英文概要: All over the globe insurers are facing the impact of the turmoil on the financial markets, making it more crucial than ever to fully understand how to implement risk management best practice.
In this timely second edition, industry expert René Doff argues that Solvency II, which aims to improve standards of risk assessment, should be regarded as an opportunity. Solvency II will provide incentives for insurance companies to improve their risk management systems and will allow you to benefit from the risk management efforts in the context of supervision.
Chinese Summary/中文概要: 全球各地的保险公司正在面临着金融市场的动乱不堪,这就使得全面懂得如何将风险管理做到最好在当前具有至关重要的意义。 《保险业风险管理》第二版在这种状况下应运而生,工业专家René Doff称偿旨在完善风险管理标准的付能力标准II需要被当做一次机会。这是因为偿付能力标准II将会为保险行业提供刺激和动力,从而让其改善风险管理体现,同时会让您在监督的环境下从风险管理中收获利益。(XMM)
Awards/获奖情况:
About the Author/作者介绍: René Doff在银行业工作多年,自 2000年以来一直担任风险管理经理人。在荷兰最大的银行拉博银行工作期间,René 参与了巴塞尔资本协议 II 和经济资本运行项目。2005以后,他一直投身于保险行业,尤其是荷兰最大的保险公司Eureko Group。他参与过风险管理运行和偿付能力标准II项目。彼时,他创立并主持了荷兰偿付能力标准II工作小组。2006和2007年,René在偿付能力标准II项目中主要成员——欧洲保险联盟(CEA)工作。2007年后,René就参与风险管理和偿付能力标准II在Eureko以及其他国际保险业的实施工作。 René Doff拥有金融、商务管理和数学背景。2006年,他获得保险业风险管理博士学位。他经常在国际会议上发言,也定期在学术和从业者期刊上发表论文,并创作了众多作品。在荷兰《保险业风险管理》(2006)和《银行业经济资本和风险管理》(2004)被视为国家风险管理标准。《保险业风险管理》第一版(2007)一发行便取得巨大成功。
René Doff has worked in banking for a number of years, and been a risk manager since 2000. Within Rabobank, the largest bank in the Netherlands, he was involved in Basel II and economic capital implementations. Since 2005 he has been working in insurance, especially in Eureko Group, the largest insurance company in the Netherlands. He has been involved in risk management implementation and Solvency II. In that position he set and chaired up the Dutch Solvency II working group. In 2006 and 2007 he worked for the European Insurance Federation (CEA), one of the leading parties in the Solvency II debate. Since 2007 Rene has been involved in risk management and Solvency II implementation of Eureko’s Dutch and international insurance business.
René Doff has a background in finance, business administration and mathematics. In 2006, he earned his PhD on risk management for insurers. He is a regular speaker on international conferences. René publishes regularly in academic and practitioners’ journals and has written a number of books. In the Netherlands “Risk management for Insurers” (2006) and “Economic Capital and Risk Management in Banking” (2004) are considered as a standard work on risk management in the Netherlands. The first edition of this book “Risk Management for Insurers” (2007) has proven to be as successful.
Format:HARDCOVER
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