基于回归的财产责任保险行业偿付能力监控方法

A Regression-Based Methodology for Solvency Surveillance in the Property-Liability Insurance Industry

Journal of Risk & Insurance · 1986
被引 87 · 同刊同年前 2%
ABS 3

中文导读

提出一种基于回归分析的方法,用于监控财产责任保险公司的偿付能力,帮助监管者和从业者识别财务风险。

Abstract

Scott E. Harrington, Jack M. Nelson, A Regression-Based Methodology for Solvency Surveillance in the Property-Liability Insurance Industry, The Journal of Risk and Insurance, Vol. 53, No. 4 (Dec., 1986), pp. 583-605

保险偿付能力回归分析风险管理