Risk Management Improvement under Solvency II
Riga Technical University 53rd International Scientific Conference: Dedicated to the 150th Anniversary and the 1st Congress of World Engineers and Riga Polytechnical Institute / RTU Alumni: Digest 2012
Darja Stepčenko-Jumere, Irina Voronova

Risk management is one of the most important and critical insurance company’s areas that should be improved under Solvency II framework. The goal of the research is to investigate the improvement possibilities of risk management under Solvency II regime. The authors use to conduct the research appropriate methods: theoretical analysis of scientific literature, analytical methods, comparative methods, modeling. The authors have prepared operational risk management model’s scheme under Solvency II framework that main aim is to demonstrate, improve and implement operational decision making strategy in insurance processes.


Atslēgas vārdi
Risk function, Operational risk management, Solvency II directive, Basel II framework, Solvency
Hipersaite
http://scientific-conference2012.rtu.lv/sites/default/files/pdf/RTU_Conference_2012.pdf

Stepčenko, D., Voronova, I. Risk Management Improvement under Solvency II . No: Riga Technical University 53rd International Scientific Conference: Dedicated to the 150th Anniversary and the 1st Congress of World Engineers and Riga Polytechnical Institute / RTU Alumni: Digest, Latvija, Rīga, 11.-12. oktobris, 2013. Riga: RTU Izdevniecība, 2012, 538.-538.lpp. ISBN 9789934103605.

Publikācijas valoda
English (en)
RTU Zinātniskā bibliotēka.
E-pasts: uzzinas@rtu.lv; Tālr: +371 28399196