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Taking Stock: Is Being Big Bad And Is Strong Competition Always Good?
Taking Stock: Is Being Big Bad And Is Strong Competition Always Good? Feature article discussing the too big to fail principle and whether or not strong competition is ideal in terms of the ...- Authors: Nino A Boezio
- Date: Feb 2010
- Competency: External Forces & Industry Knowledge
- Publication Name: Risks & Rewards
- Topics: Economics>Financial markets; Finance & Investments>Banking - Finance & Investments
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2020: What are the Takeaways for Actuaries?
2020: What are the Takeaways for Actuaries? After a very challenging year, actuaries need to look back and consider the lessons learned. Have we returned to where we were, or have we moved on to ...- Authors: Daniel B Finn
- Date: Jun 2021
- Competency: External Forces & Industry Knowledge
- Publication Name: Risks & Rewards
- Topics: Economics>Financial markets; Economics>Macroeconomics; Enterprise Risk Management>Capital markets; Enterprise Risk Management>Portfolio management - ERM; Enterprise Risk Management>Risk measurement - ERM
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Our Love Affair With Stocks: Are We About To Be Jilted?
Our Love Affair With Stocks: Are We About To Be Jilted? This article looks at the ups and downs of the stock market and postulates about the current outlook. Capital markets=Stock market; 13304 6 ...- Authors: Allen Elstein
- Date: Jun 1996
- Competency: External Forces & Industry Knowledge
- Publication Name: The Actuary Magazine
- Topics: Economics>Financial markets
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The Actuary Vol. 22, No. 2 After The Crash: Statistical Implications
The Actuary Vol. 22, No. 2 After The Crash: Statistical Implications This article considers considers how the assumptions and statistical methods used to analyze investments are likely to change ...- Authors: Aaron Tenenbein
- Date: Feb 1988
- Competency: External Forces & Industry Knowledge; Technical Skills & Analytical Problem Solving>Innovative solutions
- Publication Name: The Actuary Magazine
- Topics: Economics>Financial markets; Modeling & Statistical Methods>Asset modeling
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An Analyst’s Retrospective on Investment Risk Management
An Analyst’s Retrospective on Investment Risk Management This article provides a retrospective on investment risk management while highlighting actuarial tools used by portfolio risk managers.- Authors: James Ramenda
- Date: Aug 2008
- Competency: External Forces & Industry Knowledge; Technical Skills & Analytical Problem Solving
- Publication Name: Risks & Rewards
- Topics: Economics>Financial markets; Finance & Investments>Portfolio management - Finance & Investments
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Taking Stock: What Ever Happened to the "Invisible Hand"?
Taking Stock: What Ever Happened to the "Invisible Hand"? The article makes reference to how the intervention by government agencies and institutions into the financial marketplace ...- Authors: Nino A Boezio
- Date: Feb 2016
- Competency: External Forces & Industry Knowledge; Strategic Insight and Integration>Big picture view; Strategic Insight and Integration>Effective decision-making; Strategic Insight and Integration>Influence decisions; Strategic Insight and Integration>Strategy development; Technical Skills & Analytical Problem Solving>Innovative solutions; Technical Skills & Analytical Problem Solving>Problem analysis and definition
- Publication Name: Risks & Rewards
- Topics: Economics>Financial economics; Economics>Financial markets; Economics>Macroeconomics; Enterprise Risk Management>Strategic risks; Enterprise Risk Management>Systematic risk; Enterprise Risk Management>Systemic risk
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Intégration de la science des systèmes dans la gestion du risque : Partie 1 — Démystifier le risque, l’équilibre et les chocs exogènes
Intégration de la science des systèmes dans la gestion du risque : Partie 1 — Démystifier le risque, l’équilibre et les chocs exogènes Risk management techniques do not include ...- Authors: Bryon Robidoux
- Date: Feb 2024
- Competency: Strategic Insight and Integration; Technical Skills & Analytical Problem Solving
- Publication Name: Risk Management
- Topics: Economics; Economics>Behavioral economics; Economics>Financial economics; Economics>Financial markets; Economics>Macroeconomics; Enterprise Risk Management; Enterprise Risk Management>Risk measurement - ERM; Enterprise Risk Management>Strategic risks; Enterprise Risk Management>Systematic risk; Enterprise Risk Management>Systemic risk
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What Can We Learn from Company Failures?
What Can We Learn from Company Failures? This session from the 1995 SOA Boston Meeting examines the background and reasons leading to recent Canadian and U.S. insurance company failures, covering ...- Authors: Dwight K Bartlett, Charles Carroll, Willis B Howard
- Date: Oct 1995
- Competency: External Forces & Industry Knowledge
- Publication Name: Record of the Society of Actuaries
- Topics: Economics>Financial markets; Public Policy
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Managing Credit Risk in the Changing Market Environment
Managing Credit Risk in the Changing Market Environment Presenters cover the outlook for credit defaults over the next 12 months and approaches used to price the debt market e.g., Merton's ...- Authors: John Nigh, Joel S Salomon, Hank Prybylski
- Date: Jun 2003
- Competency: External Forces & Industry Knowledge>Actuarial methods in business operations
- Publication Name: Record of the Society of Actuaries
- Topics: Economics>Financial markets; Finance & Investments>Capital management - Finance & Investments
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Recent Publications in Risk Management
Recent Publications in Risk Management As an ongoing feature in Risk Management, we will provide recent publications we find noteworthy to our readers. 6442451048 8/1/2013 12:00:00 AM ...- Authors: Society of Actuaries
- Date: Aug 2013
- Competency: Strategic Insight and Integration>Strategy development
- Publication Name: Risk Management
- Topics: Economics>Financial markets