Introduction to Solvency II

Solvency II (SII) is a harmonised risk-based Capital regime for insurance and reinsurance companies In the EU, that came into effect in 2016. This session will give a brief introduction to the three pillars of SII- covering quantitative & qualitative measures for solvency assessment as well as the regulatory reporting and public disclosure of the solvency assessment.
Our Spekaer:
Yasmeen Husain is a UK based Actuary with more than 15 years of experience in the insurance industry. She qualified as a Fellow of the Faculty of Actuaries in 2013 and obtained the Chartered Enterprise Risk Actuary credential in 2019. Yasmeen has worked in a number of Solvency II projects at the different stages of implementation of the regulation. Most recently, her Solvency II roles relate to Internal Model Validation and operational risk. Yasmeen has worked in insurance companies and consultancies, in various actuarial and risk roles. She’s also worked in an actuarial capacity, in multi-disciplinary business transformation projects.

Пікірлер: 7

  • @mohdaamir1123
    @mohdaamir11232 жыл бұрын

    Very useful. Solvency II nicely explained.

  • @khamis87
    @khamis872 жыл бұрын

    Thank you so much. Please keep it up. I'm an actuary from Bahrain.

  • @sangeetaduggirala6985
    @sangeetaduggirala69852 жыл бұрын

    This is absolutely wonderful.. thanks very very much..

  • @davids3526
    @davids3526 Жыл бұрын

    Brilliant video 👍

  • @hudsonmagalhaes8019
    @hudsonmagalhaes8019 Жыл бұрын

    It was truly a great explanation!!

  • @user-eg4hx6iv2b
    @user-eg4hx6iv2b4 ай бұрын

    Very useful.

  • @gabgio9059
    @gabgio90592 жыл бұрын

    Time 23:28: num. 5 it would be SCR - MCR, and not 5 = SCR, so 5 + 6 = SCR