Infrastructure Investments : Regulatory Treatment and Optimal Capital Allocation Under Solvency II

Infrastructure Investments : Regulatory Treatment and Optimal Capital Allocation Under Solvency II

Author
Fabian Regele (auth.)
Publisher
Gabler Verlag
Language
English
Edition
1
Year
2018
Page
XIII, 82
ISBN
978-3-658-20163-0,978-3-658-20164-7
File Type
pdf
File Size
1.2 MiB

Fabian Regele examines the appropriateness of the current regulatory treatment and the general suitability of unlisted infrastructure equity investments for the investment purposes of insurance companies. The employed valuation model of a stylized infrastructure asset delivers sound economic results and is consistent with the typical J-curve effect of the cumulative cash flows of these assets. In the context of a portfolio optimization, the infrastructure asset improves the insurance company’s solvency situation by lowering its default probability and increasing its solvency ratio. In regard to the asset’s risk contribution, there is a time-variant occurrence of certain risk channels during its lifecycle that leads to substantial differences in the risk exposure of the insurance company.

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