Naslov (srp)

Problemi obračuna riziko-margine u regulatornom okviru Solventnost II

Autor

Koprivica, Marija
Kočović, Jelena

Opis (srp)

Apstrakt Predmet rada su problemi obračuna riziko-margine kao elementa tehničkih rezervi osiguravača u regulatornom okviru Solventnost II. Usled nedostataka propisane metode troškova kapitala, u kombinaciji s niskim kamatnim stopama, riziko-margina je isuviše visoka i varijabilna, čime su pogođena prvenstveno društva koja se bave životnim osiguranjima. U radu se daju konkretne preporuke za prevazilaženje ili ublažavanje problema previsoke i kamatno osetljive riziko-margine. Preporučena rešenja uključuju kako modifikacije postojeće metode troškova kapitala tako i na- puštanje ove metode i njenu zamenu drugim metodama za obračun riziko-margine

Opis (eng)

Abstract The paper deals with the issues of risk margin computation as an element of technical provisions of Insurers under the Solvency II regulatory regime. Due to a lack of regulatory method for the capital cost, in combination with the low interest rates, the risk margin is set too high and variable, which primarily affects life insurance companies. The paper includes particular proposals for overcoming or mitigating the problem of too high and rate-sensitive risk margin. The proposed solutions include both modifications to the existing capital cost method and abandonment and the replacement of this method by other risk margin computation methods.

Jezik

srpski

Datum

2021

Licenca

Creative Commons licenca
Ovo delo je licencirano pod uslovima licence
Creative Commons CC BY-NC 4.0 - Creative Commons Autorstvo - Nekomercijalno 4.0 International License.

http://creativecommons.org/licenses/by-nc/4.0/legalcode

Predmet

Ključne reči: riziko-margina, Solventnost II, stopa troškova kapitala, tehničke rezerve

Keywords: risk margin; Solvency II; capital cost rate; technical provisions

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