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  • Pension Risk Transfer: Evaluating Impact and Barriers for De-Risking Strategies
    Pension Risk Transfer: Evaluating Impact and Barriers for De-Risking Strategies This report is an update to a 2014 paper related to changes in the continually evolving pension risk transfer ...

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    • Authors: Timothy Geddes, Ivana Curguz, Jason Gratson
    • Date: Jun 2021
    • Competency: External Forces & Industry Knowledge
    • Topics: Finance & Investments>Investment strategy - Finance & Investments; Pensions & Retirement; Pensions & Retirement>Pension risk transfer
  • The Impact of Disaster Events on Investments – Contagion Channels Perspective
    The Impact of Disaster Events on Investments – Contagion Channels Perspective View The Impact of Disaster Events on Investments – Contagion Channels Perspective. asset management, investment ...

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    • Authors: Society of Actuaries
    • Date: Oct 2022
    • Competency: External Forces & Industry Knowledge
    • Topics: Finance & Investments
  • Adequacy of Bond Supply and Cost of Pension Benefits: A Financial Economics Perspective
    Adequacy of Bond Supply and Cost of Pension Benefits: A Financial Economics Perspective This paper attempts to fill the gap in literature by empirically assessing the adequacy of the supply of ...

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    • Authors: YING XIAO
    • Date: Jul 2009
    • Competency: External Forces & Industry Knowledge
    • Topics: Economics>Macroeconomics; Finance & Investments>Investment strategy - Finance & Investments
  • Yield Curve Extrapolation Methods
    Yield Curve Extrapolation Methods This research report summarizes methodologies used for yield curve extrapolation to value liability cash flows that extend beyond the maximum observavble portion ...

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    • Authors: Jack T Kerbeshian, Patricia Matson
    • Date: Feb 2019
    • Competency: External Forces & Industry Knowledge
    • Topics: Enterprise Risk Management; Finance & Investments
  • The Financial Crisis and Lessons for Insurers
    The Financial Crisis and Lessons for Insurers This report examines the subprime mortgage crisis and related financial consequences from the perspective of the insurance company. Asset allocation; ...

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    • Authors: Robert W Klein, Shaun Wang, George H Zanjani, Gang Ma, Application Administrator, XIANGJING WEI
    • Date: Sep 2009
    • Competency: External Forces & Industry Knowledge
    • Topics: Enterprise Risk Management; Finance & Investments>Investment policy
  • 2012 AAT Survey Results
    2012 AAT Survey Results Survey of appointed actuaries about asset adequacy testing techniques currently being used in 2012. Cash flow testing 4294993415 11/30/2012 12:00:00 AM ...

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    • Authors: Society of Actuaries
    • Date: Nov 2012
    • Competency: Professional Values>Practice expertise; Technical Skills & Analytical Problem Solving>Process and technique refinement
    • Topics: Finance & Investments>Asset liability management; Life Insurance>Policyholder behavior - Life Insurance; Life Insurance>Reserves - Life Insurance; Modeling & Statistical Methods>Asset modeling; Modeling & Statistical Methods>Scenario generation; Modeling & Statistical Methods>Sensitivity testing; Modeling & Statistical Methods>Stochastic models
  • Real Time Delphi Study of Four Economic Variables
    Real Time Delphi Study of Four Economic Variables The Society of Actuaries Predictive Analytics and Futurism Section, the Financial Reporting Section, the Investment Section and the Canadian ...

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    • Date: Jun 2020
    • Competency: Technical Skills & Analytical Problem Solving
    • Topics: Finance & Investments
  • A Linear Programming Approach to Maximizing Policyholder Value
    A Linear Programming Approach to Maximizing Policyholder Value This paper explores the use of linear programming as a tool to guide policyholders in getting the most value out of their combined ...

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    • Authors: Michael Conwill
    • Date: Jan 1991
    • Competency: Technical Skills & Analytical Problem Solving
    • Publication Name: Actuarial Research Clearing House
    • Topics: Finance & Investments; Life Insurance>Universal life; Modeling & Statistical Methods
  • The Mollification Analysis of Stochastic Volatility
    The Mollification Analysis of Stochastic Volatility One of the most important problems in Finance is the valuation of financial securities written on underlying assets whose prices are ...

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    • Authors: Lijia Guo
    • Date: Jan 1998
    • Competency: Technical Skills & Analytical Problem Solving
    • Publication Name: Actuarial Research Clearing House
    • Topics: Finance & Investments>Derivatives; Modeling & Statistical Methods>Stochastic models
  • Annuities And Life Insurance Under Random Interest Rates
    Annuities And Life Insurance Under Random Interest Rates A study of the effect of random interest rates on life insurance programs and on annuities both certain and non-certain. This is done ...

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    • Authors: Benny Levikson, Rami Yosef
    • Date: Jan 2001
    • Competency: Technical Skills & Analytical Problem Solving>Incorporate risk management
    • Publication Name: Actuarial Research Clearing House
    • Topics: Finance & Investments>Risk measurement - Finance & Investments; Modeling & Statistical Methods