Basic |
Parlamento Europeo (2009), Directiva 2009/138/CE del Parlamento Europeo y Del Consejo, de 25 de noviembre de 2009, sobre el acceso a la actividad de seguro y de reaseguro y su ejercicio (Solvencia II), ,
Francisco Cuesta Aguilar (2011), El riesgo de tipo de interés: experiencia española y Solvencia II, Fundación MAPFRE, Madrid
Davis Buckham, Jason Wahl and Stuart Rose (2011), Executive's Guide to Solvency II, Wiley, Hoboken, New Jersey
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Complementary |
Frans de Weert (2011), Bank and Insurance Capital Management , Wiley, The Atrium, Southern Gate, Chichester, West Sussex
Anthony Tarantino PhD (2008), Governance, Risk, and Compliance Handbook Technology, Finance, Environmental, and International Guidance and Best Practices, Wiley, Hoboken, New Jersey
Alexandre Adam (2007), Handbook of Asset and Liability Management: From Models to Optimal Return Strategies, Wiley, The Atrium, Southern Gate, Chichester, West Sussex
Paolo Cadoni (2014), Internal models and Solvency II, Risk books, Londres
Alexander J. McNeil, Rüdiger Frey and Paul Embrechts (2015), Quantitative Risk Management: Concepts, Techniques and Tools Revised Edition, Princeton Press, Princeton, New Jersey
European Insurance and Occupational Pensions Authority , Textos emitidos por el EIOPA, ,
Parlamento Europeo, Textos legislativos (Directivas y Reglamentos), ,
Pauline Barrieu andLuca Albertini Mark Nicolaides, Simeon Rudin, Rick Watson and Katharina Hartwig (, The Handbook of Insurance-Linked Securities, Wiley, The Atrium, Southern Gate, Chichester, West Sussex
Marine Habart-Corlosquet, Jacques Janssen and Raimondo (2013), VaR Methodology for Non-Gaussian Finance, Wiley, Hoboken, New Jersey
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