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£113.93
Springer Classical Insurance Solvency Theory - Springer Risk Series
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Description
Key Features
Part of the prestigious Huebner International Series on Risk, Insurance and Economic Security as volume 8 in the collection.
Examines classical solvency theory including historical risk management techniques like portfolio spreading and reserve funds.
Covers the evolution from traditional underwriting practices to modern legislative control and public supervision frameworks.
Analyses reinsurance, risk selection, and other key mechanisms insurance companies have used to address underwriting risks.
Integrates empirical research and theoretical knowledge relevant to contemporary insurance solvency studies.
Product Specifications
- Brand
- Springer
- Format
- paperback
- ASIN
- 940107707X
- Domain
- Amazon UK
- Publication Date
- 10 November 2011
- Listed Since
- 21 December 2012
Barcode
No barcode data available
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