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  • Investment Year Method: A Method to align renewal credited rates with investment strategy

    Investment Year Method: A Method to align renewal credited rates with investment strategy Summary of research project designed to document method to credit interest rates to account value based ...

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    • Authors: Max Rudolph
    • Date: Apr 2020
    • Competency: Results-Oriented Solutions
    • Publication Name: Risks & Rewards
    • Topics: Annuities; Annuities>Deferred annuities; Annuities>Investment strategy - Annuities; Finance & Investments; Finance & Investments>Asset liability management; Finance & Investments>Investment strategy - Finance & Investments
  • Highlights From “COVID-19: Implications for Capital Markets and Investment Modeling” Town Hall and Some Additional Commentary

    Highlights From “COVID-19: Implications for Capital Markets and Investment Modeling” Town Hall and Some Additional Commentary Summary of April 2020 Investment Section Town Hall and come ...

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    • Authors: Hal Warren Pedersen
    • Date: Jun 2020
    • Competency: Technical Skills & Analytical Problem Solving
    • Publication Name: Risks & Rewards
    • Topics: Enterprise Risk Management; Finance & Investments
  • Introduction of Cashflow Matching Strategic Asset Allocation Framework

    Introduction of Cashflow Matching Strategic Asset Allocation Framework The article introduces a cashflow matching strategic asset allocation (SAA) framework for life insurers. Given the recent ...

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    • Authors: Gautam Devarashetty, Seong Weon Park, Joy Chen, Mandy Jiao
    • Date: Apr 2024
    • Competency: Results-Oriented Solutions; Technical Skills & Analytical Problem Solving
    • Publication Name: Risks & Rewards
    • Topics: Enterprise Risk Management; Enterprise Risk Management>Portfolio management - ERM; Enterprise Risk Management>Risk measurement - ERM; Enterprise Risk Management>Strategic risks; Finance & Investments; Finance & Investments>Asset allocation; Finance & Investments>Investment strategy - Finance & Investments; Finance & Investments>Portfolio management - Finance & Investments
  • The Longer-Term Investment Implications of the C-ROSS regime

    The Longer-Term Investment Implications of the C-ROSS regime In this article we take a look at some of the requirements practitioners will need to consider as they implement a framework for ...

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    • Authors: Paul Sandhu
    • Date: Jan 2016
    • Competency: Communication>Written communication
    • Publication Name: Risks & Rewards
    • Topics: Enterprise Risk Management>Risk measurement - ERM
  • The Objective Function of Asset/Liability Management

    The Objective Function of Asset/Liability Management This article discusses asset-liability management from two different paradigms, one a simulation of the firm as an external observer e.g.

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    • Authors: David N Becker
    • Date: Mar 1998
    • Competency: External Forces & Industry Knowledge>Actuarial theory in business context
    • Publication Name: Risks & Rewards
    • Topics: Finance & Investments>Asset liability management; Finance & Investments>Economic value
  • Portfolio Yield? Sure But ...

    Portfolio Yield? Sure But ... The author discusses how the use of a weighted average dollar duration book yield, WADD, rather than the more traditional book yield determined by book value or ...

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    • Authors: Thomas Grondin
    • Date: Mar 1998
    • Competency: Technical Skills & Analytical Problem Solving
    • Publication Name: Risks & Rewards
    • Topics: Finance & Investments>Asset liability management; Finance & Investments>Investments
  • Synthetic GIC and GuaranteedSeparate Account Model Regulations

    Synthetic GIC and GuaranteedSeparate Account Model Regulations This article provides an update on the development of model regulations for synthetic GICs and guaranteed separate account products.

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    • Authors: Victor Modugno
    • Date: Oct 1998
    • Competency: External Forces & Industry Knowledge
    • Publication Name: Risks & Rewards
    • Topics: Life Insurance; Public Policy
  • Revisiting the Portfolio Efficiency of Investment in High-Return Bank Loans

    Revisiting the Portfolio Efficiency of Investment in High-Return Bank Loans The article discusses the characteristics of the high-yielding bank loan asset class. Asset management; 10915 08/01/1999 ...

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    • Authors: Paul Donahue
    • Date: Aug 1999
    • Competency: External Forces & Industry Knowledge
    • Publication Name: Risks & Rewards
    • Topics: Finance & Investments>Investments; Finance & Investments>Portfolio management - Finance & Investments
  • 1999 Market Triathlon Results

    1999 Market Triathlon Results 1999 Market Triathlon Results by Frank M. Grossman from Risks and Rewards Newsletter, September 2000, Issue No. 35. Government bonds;Return on investment; 10936 ...

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    • Authors: Frank Grossman
    • Date: Sep 2000
    • Competency: External Forces & Industry Knowledge
    • Publication Name: Risks & Rewards
    • Topics: Finance & Investments>Investments
  • Municipal Reinvestment Contracts

    Municipal Reinvestment Contracts Municipal Reinvestment Contracts by Victor Modugno from Risks and Rewards Newsletter, September 2000, Issue No. 35. Government bonds; 10921 09/01/2000 05:00:00 ...

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    • Authors: Victor Modugno
    • Date: Sep 2000
    • Competency: External Forces & Industry Knowledge>General business skills
    • Publication Name: Risks & Rewards
    • Topics: Finance & Investments>Investments
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