The global financial crisis, the EMU sovereign debt crisis and international financial regulation: lessons from a systematic literature review

S Meier, MR Gonzalez, F Kunze - International Review of Law and …, 2021 - Elsevier
To ensure the safety and soundness of the global financial system as well as individual
financial institutions and to reduce systemic risk, numerous policy measures and regulatory …

Frontier efficiency methodologies to measure performance in the insurance industry: Overview, systematization, and recent developments

M Eling, M Luhnen - The Geneva Papers on Risk and Insurance-Issues …, 2010 - Springer
The purpose of this paper is to provide an overview on frontier efficiency measurement in the
insurance industry, a topic of great interest in the academic literature during the last several …

The financial crisis, systemic risk, and the future of insurance regulation

SE Harrington - Journal of Risk and insurance, 2009 - Wiley Online Library
This article considers the role of American International Group (AIG) and the insurance
sector in the 2007–2009 financial crisis and the implications for insurance regulation …

The Subprime Virus: Reckless Credit, Regulatory Failure, and Next Steps

C Engel - 2016 - academic.oup.com
The subprime crisis shook the American economy to its core. How did it happen? Where
was the government? Did anyone see the crisis coming? Will the new financial reforms …

A critical analysis of the Solvency II proposals

R Doff - The Geneva Papers on Risk and Insurance-Issues and …, 2008 - Springer
Abstract The European Commission has recently published the Solvency II proposals with
the objective to fundamentally review the insurance supervisory framework. We test the …

A comparative assessment of Basel II/III and Solvency II

N Gatzert, H Wesker - The Geneva Papers on Risk and Insurance-Issues …, 2012 - Springer
In the course of creating a single European market for financial services and in the wake of
two financial crises, regulatory frameworks in the financial services industry in the European …

Cognitive risk culture and advanced roles of actors in risk governance: a case study

R Agarwal, S Kallapur - The Journal of Risk Finance, 2018 - emerald.com
Purpose The purpose of this study is to explore the best practices for improving risk culture
and defining the role of actors in risk governance. Design/methodology/approach This paper …

Measuring market and credit risk under Solvency II: Evaluation of the standard technique versus internal models for stock and bond markets

S Asadi, MAM Al Janabi - European Actuarial Journal, 2020 - Springer
Abstract The 2008–2009 Global Financial Crisis (GFC) has swayed regulators to set forth
the Solvency II agreement for determining Solvency Capital Requirement (SCR) for …

Correlations between extreme atmospheric hazards and global teleconnections: Implications for multihazard resilience

H Steptoe, SEO Jones, H Fox - Reviews of Geophysics, 2018 - Wiley Online Library
Occurrences of concurrent extreme atmospheric hazards represent a significant area of
uncertainty for organizations involved in disaster mitigation and risk management …

[BOOK][B] Digital insurance: Business innovation in the post-crisis era

B Nicoletti - 2016 - books.google.com
Page 1 PALGRAVE STUDIESIN FINANCIAL SERVICES TECHNOLOGY y DIGITAL |NSURANCE
BERNARD0 NICOLETT º Page 2 Digital Insurance Page 3 Also by Bernardo Nicoletti MOBILE …