0
Your cart

Your cart is empty

Books > Business & Economics > Finance & accounting > Finance > Insurance

Buy Now

Classical Insurance Solvency Theory (Hardcover, 1988 ed.) Loot Price: R4,333
Discovery Miles 43 330
Classical Insurance Solvency Theory (Hardcover, 1988 ed.): J.David Cummins, Richard A. Derrig

Classical Insurance Solvency Theory (Hardcover, 1988 ed.)

J.David Cummins, Richard A. Derrig

Series: Huebner International Series on Risk, Insurance and Economic Security, 8

 (sign in to rate)
Loot Price R4,333 Discovery Miles 43 330 | Repayment Terms: R406 pm x 12*

Bookmark and Share

Expected to ship within 10 - 15 working days

Donate to Against Period Poverty

The problem of solvency is, in fact, as old as insurance. The history of the industry knows many ways to meet the risks involved with underwriting, such as spreading the risk portfolio (Cato, Senior already applied it), risk selection, reserve funds, reinsurance, etc. Whilst these measures too often proved ineffective, the establish ment of legislative control and public supervision ensued. However, not until the last few decades has the solvency issue become an ob ject of intensive studies, very much thanks to the progress of related empirical and theoretical knowledge, and in the under standing of the concerned complicated processes. The research activities have grown extensively in many countries in recent years. The more the studies advance the more new relevant aspects are detected and a great variety of alternative proposals have come up for discussion. Therefore, it has become necessary to attempt a survey of the whole problem area in order to be able to place the quite numerous pieces of knowledge in their proper context, and also, among other things, to avoid the pitfalls of handling isolated problems omitting vital tie-ins to the environment. Many of the rele vant problems and subproblems are still lacking adequate and well tested solutions. Therefore, a survey of the whole problem area can also hopefully serve as guidance for future research efforts."

General

Imprint: Kluwer Academic Publishers
Country of origin: United States
Series: Huebner International Series on Risk, Insurance and Economic Security, 8
Release date: May 1988
First published: 1988
Editors: J.David Cummins • Richard A. Derrig
Dimensions: 234 x 156 x 12mm (L x W x T)
Format: Hardcover
Pages: 160
Edition: 1988 ed.
ISBN-13: 978-0-89838-272-3
Categories: Books > Business & Economics > Finance & accounting > Finance > Insurance > General
Books > Money & Finance > Insurance > General
LSN: 0-89838-272-6
Barcode: 9780898382723

Is the information for this product incomplete, wrong or inappropriate? Let us know about it.

Does this product have an incorrect or missing image? Send us a new image.

Is this product missing categories? Add more categories.

Review This Product

No reviews yet - be the first to create one!

Partners