Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II, Paperback
TZS 217566
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The infrastructure asset improves the insurance company's solvency situation by lowering its default probability and increasing its solvency ratio.
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What Stands Out
Product Details
| Book format | Paperback |
| Fiction/nonfiction | Non-Fiction |
| Genre | Business & Investing |
| Pub date | 2017-11-27 |
| Pages | 82 |
| Subgenre | Insurance |
| Series title | Bestmasters |
| Edition | 2018 Edition |
| Publisher | Springer Fachmedien Wiesbaden |
| Original languages | English |
| Language | English |
| Is collectible | N |
| Binding type | Perfect Binding |
| Retail packaging | Single Piece |
| Assembled product height | 8.27 in (21 cm) |
| Assembled product weight | 0.28 lb (130 grams) |
| Bisac subject heading | Business & Economics |
Who Should Buy?
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Investment Professionals
Investment analysts and managers will find valuable insights into capital allocation under Solvency II regulations for infrastructure assets.
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Regulatory Advisors
Advisors can utilize the book's expertise to guide clients through compliance with Solvency II regulations in infrastructure investments.
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Financial Students
Students specializing in finance or risk management will benefit from comprehensive discussions about regulatory frameworks and capital strategies.
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General Readers
Individuals without financial background may find the technical details and regulatory language challenging to understand and apply.
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Non-Finance Professionals
Professionals outside finance sectors may struggle to find practical applications and relevance in the book's content.
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Casual Investors
Casual investors looking for quick investment tips or strategies may not benefit from the book's regulatory focus and depth.
Product Description
Bestmasters Infrastructure Investments: Regulatory Treatment and Optimal Capital Allocation Under Solvency II, Paperback
Customer Questions & Answers
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Question:
What does this book cover?
Answer: It covers the regulatory treatment and suitability of unlisted infrastructure equity investments for insurance companies. -
Question:
How does infrastructure investment affect solvency?
Answer: It lowers the default probability and increases the solvency ratio. -
Question:
What is the J-curve effect in this context?
Answer: It refers to the typical cumulative cash flow pattern seen in infrastructure assets over time.
Fabian Regele All Books Editorial Review
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TZS 217566
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Features & Benefits
- Examines regulatory treatment of unlisted infrastructure equity investments.
- Uses a valuation model that aligns with the J-curve effect.
- Improves solvency by reducing default probability.
- Increases solvency ratio for insurance companies.
- Analyzes time-variant risk contributions during the asset's lifecycle.
- Provides insights into optimal capital allocation under Solvency II.
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