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2012, vol. 17, br. 1, str. 53-60
Risk modeling in the insurance industry
(naslov ne postoji na srpskom)
aUniverzitet Union, Fakultet za pravne i poslovne studije 'dr Lazar Vrkatić', Novi Sad
bUniverzitet u Novom Sadu, Fakultet tehničkih nauka

e-adresavnjegomir@eunet.rs
Sažetak
(ne postoji na srpskom)
The ability to respond swiftly and effectively to a major incident caused by realisation of risks which can be influenced by factors that might come from almost all fields of insurance and reinsurance business, presents conditio sine qua non of insurance and reinsurance companies' survival and profitable continuity of business. Having that in mind and within the context of capital adequacy and imposed constraints of risk interconnectedness, the aim of our research has been to identify potential benefits and weaknesses of risk modeling. We conclude that over-reliance on risk modeling is not desirable, due to particular limitations of models. They can be powerful risk management tool only if their results are combined with expert estimates.
Reference
European Commission (2002) Study into the methodologies for prudential supervision of reinsurance with a view to the possible establishment of an EU framework. January 31, Retrieved April 20, 2008, from European Commission The EU Single Market: ec.europa.eu/internal_market/insurance/docs/reinsur
Federal emergency nanagement agency (2011) FEMA's methodology for estimating potential losses from disasters: HAZUS. Retrieved April 10, 2011, from FEMA, http://www.fema.gov/plan/prevent/hazus/index.shtm
Njegomir, V. (2006) Risk management by applying the composite model. u: Proceedings of the 7th International symposium on information and communications technology and insurance, Plitvice, Institut za osiguranje Tectus, pp. 47-52
Njegomir, V. (2007) Minimiziranje rizika osiguravajućih društava. Industrija, vol. 35, br. 3, str. 83-102
Njegomir, V. (2009) Solvency II direktiva i njen uticaj na upravljanje rizikom u osiguravajućim društvima. Finansije, vol. 64, br. 1-6, str. 272-306
Njegomir, V. (2006) Specifičnosti upravljanja kapitalom u osiguravajućim društvima. Računovodstvo, 50(7-8): 59-68
Njegomir, V., Ćirić, J. (2011) Information technology for risk management support. Annals of the Faculty of Engineering Hunedoara, 9(1): 109-114
Rejda, G.E. (2005) Principles of risk management and insurance. Boston: Addison-Wesley
Seog, S.H. (2006) The Strategic Role of Insurance: The Warranty Case. Journal of Insurance Issues, 29 (1): 33-50
 

O članku

jezik rada: engleski
vrsta rada: neklasifikovan
objavljen u SCIndeksu: 22.03.2013.

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