Articles

Reset all filters
Sector
Channel
Geography
Company
Refine Search
IT & claims management analysis
Leading US claims and risk management specialists, Sedgwick has announced the appointment of Steven Penman as its new chief operating officer.   31 January 2012
EMEA analysis
Moody’s Analytics announced last week that it will be launching a follow-up to its Solvency II compliance software Fermat Solvency II.   20 January 2012
Segregated accounts or pooled vehicles: the choice is yours
article
Louise Twiss West and Claudio Lede ask the all important question. Segregated accounts or pooled vehicles: which is better for medium-sized captives?   30 November 2010
Analysis
The likely differentiation of captives under Solvency II equivalency and growing links with Canada and Latin America look set to position Bermuda at the forefront of captive development once again.   1 January 1970
IT & claims management analysis
With families, patients and lawyers paying increasingly close attention to quality of care, PointRight outlines the significance of effective risk analytics to the assessments of US healthcare providers.   1 January 1970
EMEA analysis
Solvency II continues to dominate regulatory discussions in Europe, but Guenter Droese, chairman of ECIROA, is increasingly upbeat about the implications of its final form for the continent’s captive sector.   1 January 1970
Actuarial & underwriting
Captives are well-positioned and equipped to strengthen their parents’ risk management functions and to take on emerging risk, says Pierre Sonigo, secretary general of the FERMA.   1 January 1970
Analysis
An examination of the challenges faced and those questions that need to be addressed in a captive feasibility study.   1 January 1970
Analysis
With Solvency II imminent, US captives are watching Europe’s new regulatory regime with interest. Some believe its implications will be significant. Some are convinced otherwise. US Captive addresses both sides.   1 January 1970
Asset management analysis
The European crisis has shredded the nerves of even the most hardened investor. Here, we explore the implications of the crisis for the investment strategies of captive insurers.   1 January 1970

Not finding what you're looking for, please try resetting your applied search and filters,
or try the
full site search.