Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II, (Paperback)
The infrastructure asset improves the insurance company's solvency situation by lowering its default probability and increasing its solvency ratio.
Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II, (Paperback)
Nº de artículo: 160007113

Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II, (Paperback)

Nº de artículo: 160007113

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The infrastructure asset improves the insurance company's solvency situation by lowering its default probability and increasing its solvency ratio.
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What Stands Out

In-depth Analysis
Provides comprehensive insights into infrastructure investments, specifically under Solvency II regulations, enabling readers to understand complex financial frameworks and their implications on capital allocation.
Expert Guidance
Authored by leading experts, this book offers practical strategies and recommendations for financial professionals, enhancing their ability to navigate regulatory landscapes and optimize investment decisions.
Targeted Audience
Designed for investment managers, regulators, and financial analysts, the book equips them with crucial knowledge to make informed decisions in infrastructure investment under evolving regulatory standards.

Detalles de producto

Shop Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II, (Paperback) online at a best price in Dominican Republic. 599946026
Book formatPaperback
Fiction/nonfictionNon-Fiction
GenreBusiness & Investing
Publication dateNovember, 2017
Pages82
SubgenreInsurance
Series titleBestmasters
Edition2018 Edition
PublisherSpringer Fachmedien Wiesbaden
Original languagesEnglish
LanguageEnglish
Is collectibleN
Binding typePerfect Binding
Recording time0 min
Retail packagingSingle Piece
Assembled product dimensions (l x w x h)5.83 x 0.20 x 8.27 in (14.8 x 0.5 x 21 cm)
Assembled product weight0.28 lb (130 grams)
Bisac subject headingBusiness & Economics

Who Should Buy?

Suitable For
  • Investment Professionals

    Investment analysts and managers will find valuable insights into capital allocation under Solvency II regulations for infrastructure assets.

  • Regulatory Advisors

    Advisors can utilize the book's expertise to guide clients through compliance with Solvency II regulations in infrastructure investments.

  • Financial Students

    Students specializing in finance or risk management will benefit from comprehensive discussions about regulatory frameworks and capital strategies.

Not Suitable For
  • General Readers

    Individuals without financial background may find the technical details and regulatory language challenging to understand and apply.

DESCRIPCIÓN DEL PRODUCTO

Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II, (Paperback)

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Preguntas y respuestas de los clientes

  • Pregunta: What does this book cover?

    Respuesta: It covers the regulatory treatment and suitability of unlisted infrastructure equity investments for insurance companies.
  • Pregunta: How does infrastructure investment affect solvency?

    Respuesta: It lowers the default probability and increases the solvency ratio.
  • Pregunta: What is the J-curve effect in this context?

    Respuesta: It refers to the typical cumulative cash flow pattern seen in infrastructure assets over time.

Fabian Regele All Books Editorial Review

Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II is a comprehensive non-fiction book published in November 2017 that delves into the critical aspects of regulatory frameworks and financial strategies in the insurance sector. Featuring 82 pages of insightful content, this paperback edition is part of the esteemed Bestmasters series and addresses key themes relevant to business and investing enthusiasts. The book is not collectible and is designed with perfect binding for a professional appearance. Readers will find this text invaluable for enhancing their understanding of optimal capital allocation under Solvency II, making it a significant addition to any business literature collection.

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ventajas

  • In-depth analysis of regulatory frameworks
  • Concise 82-page format for quick reading
  • Perfect binding for professional presentation
  • Relevant insights for business and investing
  • Part of a reputable series in the field

Contras

  • Limited to a specific subgenre of insurance

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