European Asset Allocation under Solvency III 2014

  • Apr 2014
  • Frankfurt, Germany

Description

Topics
  • Accounting implications of Solvency II for asset management
  • How portfolios need to be redesigned in order to comply with Solvency II
  • The reporting requirements under Solvency II
  • How to optimise real estate investments
  • Specific central European focus
Who should Attend

CFOs, CIOs, Asset Allocation, CROs, Solvency II and ALM managers from insurance companies and pension funds and Asset Managers Heads of Portfolio management/Asset allocation, Institutional clients, ALM and Solvency II.

Past Events

Important

Please, check "European Asset Allocation under Solvency III" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance, Risk Management
Services: Banking, Insurance

Other Events with Similar Categories

Other Events with Similar Location or Organizer

Featured Conferences & Exhibitions