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Surplus: too much, or too little?
article
Peter Jones suggests a process for evaluating a captive’s asset mix and appropriate surplus   1 January 1970
Trust versus LOC: the smackdown, part II
article
Robert Quinn argues the merits of the trust over letters of credit, without resorting to fisticuffs.   1 January 1970
Captives: a competitive advantage in any market cycle
article
Brian First outlines the captive’s edge in managing through the cycle.   1 January 1970
article
The changing global marketplace is forcing many captives to make rash decisions, but Steven Chirico argues that attention first needs to be paid to risk and corporate governance.   1 January 1970
Asset management analysis
With rumours circulating about the demise of the euro following Greece’s economic implosion, David Burns reveals how market expertise can result in an alter native view.   1 January 1970
article
Mary Chmielowiec and Paul Marshall discuss the building and maintenance of a profitable captive.   1 January 1970
Actuarial & underwriting
Ratings can prove an invaluable aid to captives as they navigate the insurance landscape. AM Best outline their significance and how the rating agency assesses those firms within its remit.   1 January 1970
Actuarial & underwriting
Alan Fleming of the Association of Insurance and Risk Managers in Industry and Commerce (AIRMIC) addresses the key risk management concerns faced by today’s captive industry.   1 January 1970
Actuarial & underwriting
AM Best details how, despite the soft cycle, captive insurance entities have outperformed the commercial sector across a host of parameters.   1 January 1970
Analysis
Cayman has opted to stay outside the framework of Solvency II equivalence—at least for now. Here, Cayman Captive explores the merits of the decision.   1 January 1970

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