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Macroprudential solvency stress testing of the insurance sector /

"Over the last decade, stress testing has become a central aspect of the Fund's bilateral and multilateral surveillance work. Recently, more emphasis has also been placed on the role of insurance for financial stability analysis. This paper reviews the current state of system-wide solvency...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Autores principales: Jobst, Andreas (Autor), Sugimoto, Nobuyasu (Autor), Broszeit, Timo (Autor)
Formato: Electrónico eBook
Idioma:Inglés
Publicado: [Washington, D.C.] : International Monetary Fund, ©2014.
©2014
Colección:IMF working paper ; WP/14/133.
Temas:
Acceso en línea:Texto completo

MARC

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100 1 |a Jobst, Andreas,  |e author. 
245 1 0 |a Macroprudential solvency stress testing of the insurance sector /  |c Andreas A. Jobst, Nobuyasu Sugimoto, and Timo Broszeit. 
260 |a [Washington, D.C.] :  |b International Monetary Fund,  |c ©2014. 
264 4 |c ©2014 
300 |a 1 online resource (84 pages) :  |b color illustrations, color map 
336 |a text  |b txt  |2 rdacontent 
337 |a computer  |b c  |2 rdamedia 
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490 1 |a IMF working paper ;  |v WP/14/133 
500 |a "Monetary and Capital Markets Department"--Page 2 of pdf 
500 |a "July 2014"--Page 2 of pdf 
520 |a "Over the last decade, stress testing has become a central aspect of the Fund's bilateral and multilateral surveillance work. Recently, more emphasis has also been placed on the role of insurance for financial stability analysis. This paper reviews the current state of system-wide solvency stress tests for insurance based on a comparative review of national practices and the experiences from Fund's FSAP program with the aim of providing practical guidelines for the coherent and consistent implementation of such exercises. The paper also offers recommendations on improving the current insurance stress testing approaches and presentation of results"--Abstract 
504 |a Includes bibliographical references (pages 59-70). 
588 0 |a Online resource; title from pdf title page (IMF.org Web site, viewed July 23, 2014). 
505 0 |a Cover; Contents; Glossary; I. Introduction; Figures; 1. Overview of IMF FSAPs and Completion of Insurance Stress Tests; 2. Number of Completed Insurance Stress Tests in FSAPs Before and After the Global Financial Crisis; II. Overview and Framework; A. Macroprudential Stress Testing for Insurance; B. Differences between Banks and Insurance Companies and Their Implications for Stress Testing; 3. Stylized Insurance Balance Sheet and Solvency Control Levels; Boxes; 1. General Macro-Financial and Systemic Risk Implications for Insurance; III. Process and Methodologies; 4. Stress Testing Process. 
505 8 |a 2. The Taxonomy of Stress Testing ApproachesA. Object of Analysis; B. Determination of Scope; C. Methodological Framework and Data Quality; D. Valuation and Capital Resources; 5a. Overview of Solvency Regimes-Risk Measurement; 5b. Overview of Solvency Regimes-Valuation Standards; E. Scenario Design and Other Assumptions; 6. Elements of Risk Assessment and Scope of FSAP Stress Testing; 3. Recessionary Scenarios in the Insurance Sector; 4. Assessing the Impact of Low Interest Rates on Insurance Activities; F. Risk Factors and Aggregation Approaches; 5. Liquidity Risk in Insurance. 
505 8 |a 6. Examples of Supervisory Approaches of Insurance Stress TestingG. Output Measures; 7a. Presentation Templates of Outputs (hypothetical singe-period test); 7b. Presentation Templates of Outputs (hypothetical multiple-period test); H. Validation of Results; 7. Case Study: Belgium Insurance Stress Test for the FSAP; I. Communicating the Outcome of Stress Tests; Tables; 1. Overview of Possible Validation Checks; 2. Summary of Key Assumptions in IMF Stress Testing of Insurance Sectors; IV. Discussion and Conclusion; References; Appendix I-Tables; Appendix II--Additional Background. 
546 |a English. 
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650 0 |a Insurance  |x Evaluation. 
650 0 |a Financial risk management. 
650 0 |a Risk assessment. 
650 2 |a Risk Assessment 
650 6 |a Assurance  |x Évaluation. 
650 6 |a Finances  |x Gestion du risque. 
650 6 |a Évaluation du risque. 
650 7 |a risk assessment.  |2 aat 
650 7 |a BUSINESS & ECONOMICS  |x Industries  |x General.  |2 bisacsh 
650 7 |a Financial risk management  |2 fast 
650 7 |a Risk assessment  |2 fast 
700 1 |a Sugimoto, Nobuyasu,  |e author. 
700 1 |a Broszeit, Timo,  |e author. 
710 2 |a International Monetary Fund.  |b Monetary and Capital Markets Department,  |e issuing body. 
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776 0 8 |i Print version:  |a Jobst, Andreas.  |t Macroprudential solvency stress testing of the insurance sector.  |d [Washington, District of Columbia] : International Monetary Fund, ©2014  |h 83 pages  |k IMF working paper ; WP/14/133  |z 9781484346365 
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