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  • Optimism Bias and Market Recoveries
    Optimism Bias and Market Recoveries While the major market crash subsequent to the widespread contagion of the COVID-19 virus was readily predictable, the rapid recovery and ongoing growth ...

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    • Authors: John Burkhardt
    • Date: Feb 2022
    • Competency: External Forces & Industry Knowledge; Strategic Insight and Integration; Technical Skills & Analytical Problem Solving
    • Publication Name: Risks & Rewards
    • Topics: Economics; Economics>Behavioral economics; Finance & Investments
  • Navigate through Risk-Based Capital with Success
    Introduce basic concepts of the Health Risk-Based Capital and show case a few strategies around Risk-Based Capital.

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    • Authors: Karena Weikel, Jinjun (Sophia) Yu
    • Date: Dec 2021
    • Competency: Strategic Insight and Integration
    • Publication Name: Health Watch
    • Topics: Actuarial Profession; Finance & Investments
  • Stratégies de gestion de l’actif et du passif : gestion du risque de convexité en contexte de hausse des taux d’intérêt
    Stratégies de gestion de l’actif et du passif : gestion du risque de convexité en contexte de hausse des taux d’intérêt In this article, we summarize inflationary factors that ...

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    • Authors: Robert E Winawer, Seong Weon Park
    • Date: Sep 2021
    • Competency: External Forces & Industry Knowledge; Strategic Insight and Integration
    • Publication Name: Risk Management
    • Topics: Enterprise Risk Management>Capital management - ERM; Finance & Investments>Asset liability management
  • Why Glide Paths Should Evolve
    Why Glide Paths Should Evolve The paper demonstrates that the most popular rationalization for evolving glide paths is flawed and should be discarded. The paper also demonstrates that glide paths ...

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    • Authors: Dimitry D Mindlin
    • Date: Jun 2022
    • Competency: Professional Values; Results-Oriented Solutions; Strategic Insight and Integration; Technical Skills & Analytical Problem Solving
    • Publication Name: Risks & Rewards
    • Topics: Finance & Investments>Asset allocation; Finance & Investments>Investment policy; Finance & Investments>Investment strategy - Finance & Investments; Finance & Investments>Portfolio management - Finance & Investments; Finance & Investments>Risk measurement - Finance & Investments; Pensions & Retirement; Pensions & Retirement>Pension finance; Pensions & Retirement>Pension investments & asset liability management
  • Asset and Liability Management Strategies: Managing Convexity Risk as Interest Rates Rise
    Asset and Liability Management Strategies: Managing Convexity Risk as Interest Rates Rise In this article, we summarize inflationary factors that may result in a sharp increase in interest rates ...

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    • Authors: Robert E Winawer, Seong Weon Park
    • Date: Sep 2021
    • Competency: External Forces & Industry Knowledge; Strategic Insight and Integration
    • Publication Name: Risk Management
    • Topics: Enterprise Risk Management>Capital management - ERM; Finance & Investments>Asset liability management
  • Market Consistent Valuation of Fixed Indexed Annuity
    Market Consistent Valuation of Fixed Indexed Annuity it discusses the framework and modeling of the market consistent valuation of fixed indexed annuity, against the backdrop of the convergence ...

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    • Authors: Jing Fritz
    • Date: Feb 2022
    • Competency: Strategic Insight and Integration
    • Publication Name: Risk Management
    • Topics: Annuities; Annuities>Equity-indexed annuities; Annuities>Reserves - Annuities; Annuities>Product development - Annuities; Finance & Investments; Finance & Investments>Economic value