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Analysis and Forecasting оf Solvency of an Insurance Company

Student: Nikolaev Andrey

Supervisor: Tatyana Bogdanova

Faculty: Graduate School of Business

Educational Programme: Business Informatics (Master)

Final Grade: 7

Year of Graduation: 2021

The purpose of this study is to show the difference between the old methods and the new ones on the example of two conditionally equal portfolios of insurance companies. The object is the calculation of the solvency of insurance companies, and the subject is the methods by which the solvency can be calculated.

Full text (added May 20, 2021)

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