139x Filetype PPT File size 0.86 MB Source: www.assalweb.org
IAIS standards relevant to investment risk IAIS standards relevant to investment risk management management • Insurance Core Principles (in particular ICP9, 10, 11, 18, 21, 22, 23) Oct 03 • Framework paper and Cornerstones paper Oct 05 • Principles on capital adequacy and solvency Jan 02 • Supervisory standard on asset management by insurance companies Dec 99 • Supervisory standard on derivatives Oct 98 • Supervisory standard on disclosures concerning investment performance for life and non-life insurers Oct 05 IAIS IAIS Guidance Guidance paper on paper on investment investment • Stress testing by insurers guidance paper Oct 04 risk risk management management • Investment risk management guidance paper Oct 05 November 2005 2 Makoto Okubo Contents Contents 1. Investment management 2. Investment risk management framework 3. Market risk / Credit risk / Liquidity risk 4. Supervisory considerations 5. Information from the insurer to IAIS IAIS supervisor Guidance Guidance paper on paper on investment investment risk risk management management November 2005 3 Makoto Okubo 1. Investment management by insurers 1. Investment management by insurers Manage its assets in a sound and prudent manner, taking account of: • Profile of its liabilities • Solvency position • Complete risk-return profile − Product and underwriting policies IAIS − Reinsurance policies IAIS Guidance Guidance paper on paper on − Asset liability management policies investment investment risk risk management management − Solvency level policies November 2005 − Investment management policies 4 Makoto Okubo Investment management by insurers Investment management by insurers Investment policies would be expected to address: • Asset and liability considerations • Financial market environment • Eligible asset classes • Amount of delegated limits by management level • Strategic asset allocation • Conditions under which the insurer can pledge or lend assets • Maximum allowed deviation from strategic asset allocation IAIS IAIS • Capital considerations Guidance Guidance paper on paper on • Solvency and liquidity considerations investment investment risk risk • Concentration risk management management November • Risk parameters 2005 5 Makoto Okubo 2. Investment risk management 2. Investment risk management framework framework Investment risk management framework should adhere to any regulatory requirements in relation to: • Investment policies • Asset mix ST Index • Valuation • Diversification IAIS IAIS Guidance Guidance • paper on paper on Asset liability matching investment investment risk risk management management • Risk management November 2005 6 Makoto Okubo
no reviews yet
Please Login to review.