Frank Achtert, Head of Capital Optimization, EMEA; Tom Hettinger, Strategic Advisory Leader, U.S./Canada; David Lightfoot, Head of Global Strategic Advisory – Asia Pacific and Latin America Contact With IFRS 17, reinsurance for managing capital KPIs needs to be different in type/scale Users of internal capital models must ensure flexibility of underlying simulation p ... Continue Reading »
capital management
A Strategy for Market Volatility: Portfolio Optimization – GC@MC Commentary
Jay Dhru, Global Head of Business Intelligence; Matthew Day, Managing Director; Jack Snyder, Managing Director, Ratings Advisory Contact Rising loss costs and expenses consume an ever larger portion of reserves Optimized portfolio construction as vital as upfront underwriting of a risk Excess capacity is pressuring insurers’ underwriting profitability ... Continue Reading »
Reinsurance Solutions Continue to Achieve Stability and Growth for Cedents
James Nash, President, International and Julia Chu, Managing Director Contact Shift in buying strategies towards managing volatility Marketplace 'vibrant' as buyers capitalize on full array of products Move to de-commoditize solutions driving up product complexity ... Continue Reading »
Run-off specialists are gearing up for increased flows
Andrew Beecroft, Managing Director, GC Securities Contact Contact Challenging markets and active capital management are encouraging carriers to proactively consider reserve solutions A competitive market for acquisition of run-off assets has broadened New entrants are forming in anticipation of increased flows of legacy business ... Continue Reading »
Insurers Adapting in a Time of Disruption
Here we review recent GC Capital Ideas posts on strategies insurers may utilize to continue to achieve growth in a disruptive environment. ... Continue Reading »
Integrating Growth and Enterprise Risk Management – GC@PCI Commentary
Thomas Hettinger, Managing Director, Strategic Advisory Contact There are indications that new A.M. Best Stochastic Based BCAR factor assignments may require more capital for companies entering a new line of business than for established writers growing in that line Companies will be under extra pressure to choose growth strategies carefully because of potential capital ... Continue Reading »
Guy Carpenter Advances Capital Modeling Capabilities with MetaRisk® 10
Guy Carpenter & Company today announced the launch of MetaRisk® 10, which significantly enhances automation, adds support for A.M. Best's new stochastic-based Best's Capital Adequacy Ratio (BCAR) and enables modeling of "hours clauses." ... Continue Reading »
Run-off Specialists Are Gearing Up For Increased Flows – GC@MC Commentary
Andrew Beecroft, Managing Director, GC Securities Contact Challenging markets and active capital management are encouraging carriers to proactively consider reserve solutions A competitive market for acquisition of run-off assets has broadened New entrants are forming in anticipation of increased flows of legacy business ... Continue Reading »
Reinsurance Solutions Continue to Achieve Stability and Growth for Cedents – GC@MC Commentary
James Nash, President, International and Julia Chu, Managing Director Contact Shift in buying strategies towards managing volatility Marketplace 'vibrant' as buyers capitalize on full array of products Move to de-commoditize solutions driving up product complexity ... Continue Reading »
Analytics: Fueling Risk-Informed Decisions: Part III: Strategic and Risk Capital Management
Tim Gardner, President, North America Contact Insurers who rely on strategic risk and capital management analytics to optimize their return on capital require a proactive capital management strategy that is in line with Own Risk and Solvency Assessment (ORSA), rating agency objectives and/or management’s internal capital adequacy benchmarks. To support this objective, a wide v ... Continue Reading »