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Insurance Risk Study - Aon

Insurance Risk StudyFifth Edition 2010reDEFININGC apital | Access | Advocacy | InnovationPortfolio RiskSystemicMarket RiskSystemicInsuranceRiskNa ve ModelInsurance Portfolio RiskAsset Portfolio RiskContents3 | Foreword4 | Global Risk Parameters6 | Evaluating Solvency II Factors8 | Risk Parameters10 | Best of Times, Worst of Times12 | Correlation and the Pricing Cycle16 | Modeling Dependence17 | Size and Correlation18 | Macroeconomic Correlation19 | Managing Inflation Risk21 | Global Market Review25 | Afterword: The Greatest RiskAbout the StudyRating agencies, regulators and investors today are demanding that insurers provide detailed assessments of their risk tolerance and quantify the adequacy of their economic capital.

3 Foreword Since the first internal Aon Benfield Insurance Risk Study in 2003, the insurance world has been shaken by mega-catastrophes …

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