01956nam0 2200469 i 450 VAN0010254920240806100720.582N978-1-4471-6305-320150910d2014 |0itac50 baengGB|||| |||||Value-oriented risk management of insurance companiesMarcus Kriele, Jochen WolfLondonSpringer2014XII, 378 p.24 cm001VAN001025382001 EAA series210 Berlin [etc.]SpringerVAN00239494Wertorientiertes Risikomanagement von Versicherungsunternehmen298343291B05Risk models (general) [MSC 2020]VANC019981MF91B70Stochastic models in economics [MSC 2020]VANC028992MFCapital AllocationKW:KEconomic CapitalKW:KEnterprise Risk ManagementKW:KInsuranceKW:KQuantitative Methods in Risk ManagementKW:KRegulatory CapitalKW:KRisk managementKW:KRisk measuresKW:KSolvency IIKW:KSwiss Solvency TestKW:KValue Based ManagementKW:KGBLondonVANL000015KrieleMarcusVANV08009762318WolfJochenVANV080098721762Springer <editore>VANV108073650ITSOL20240906RICAhttp://dx.doi.org/10.1007/978-1-4471-6305-3E-book – Accesso al full-text attraverso riconoscimento IP di Ateneo, proxy e/o ShibbolethBIBLIOTECA CENTRO DI SERVIZIO SBAVAN15NVAN00102549BIBLIOTECA CENTRO DI SERVIZIO SBA15CONS SBA EBOOK 4341 15EB 4341 20191106 Wertorientiertes Risikomanagement von Versicherungsunternehmen2983432UNICAMPANIA