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Analysis
Following developments on the implementation of the European Liability Directive, Pierre Sonigo explores its implications for captives and operators in the region. 1 January 1970
Analysis
Novel structures such as risk retention groups and 831(b)s are fulfilling the captive needs of smaller business, but current conditions are presenting a challenge. 1 January 1970
Analysis
EMEA Captive spoke with Carlos Montalvo of the European Insurance and Occupational Pensions Authority (EIOPA) about the evolving Solvency II regime and likely captive treatment under the emerging framework. 1 January 1970
Analysis
US data protection requirements are on the rise and captives will need to respond effectively. Eric Fader and Laurie Kamaiko outline the steps captives need to take in order to be prepared for the changing landscape. 1 January 1970
Actuarial & underwriting
Driven in part by legislation, more companies are considering using a captive to better manage their exposures. US Captive spoke with Gregory Fanoe on how to gain tangible strategic benefits from the decision. 1 January 1970
Analysis
The number of US domiciles with captive legislation continues to expand, with Florida and Oregon the latest states to throw their hats into the ring. But how can 30-odd states differentiate their captive offering? 1 January 1970
Analysis
Uncertainty remains over whether the Nonadmitted and Reinsurance Reform Act will be applied to the captive sector. The sector is hoping for an exclusion, but clarity remains elusive. For now, captives muddle through. 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
Analysis
Cayman Captive spoke with Cindy Scotland about developments to Cayman’s regulatory framework, the Islands’ decision to opt out of Solvency II and the authority’s ongoing commitment to international standards. 1 January 1970
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