Author: Wei Qiaoqin
Publisher:
Publish Date: 2005-05-01
Features: This book conducts a comprehensive and systematic comparative study and empirical analysis of the methods and techniques of insurance investment risk management in developed countries of the insurance industry from four aspects: the main model of insurance investment management, insurance investment portfolio management, insurance investment asset-liability management, and insurance investment regulation. It also proposes forward-looking and actionable recommendations for insurance investment risk management in China. This book can serve as a teaching material for postgraduate students in insurance and actuarial science, as well as a reference for researchers engaged in insurance investment and investment managers in insurance companies.
International Comparison of Risk Management in Insurance Investment and Chinese Practice
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