Since banks and insurance companies are financial institutions dealing with risks in various aspects of their business, it is important to make a general approach to the issue of risk and risk management from the perspective of these institutions. In that regard, we made a short overview of the risks these institutions are faced to as well as the methods they use for risk assessments. In order to limit our research to specific financial markets, we provided the basic characteristics of bank and insurance markets of Southeastern Europe (SEE), presenting the core indicators of development level of these markets and their legal and institutional environment related to new regulation proposed in Europe. We analyzed the level of implementation of Basel and Solvency risk assessment standards in these countries and tried to anticipate direction(s) where these markets are going to move in the coming period.

Implementation of basel and solvency risk assessment standards in banks and insurance companies of south-eastern europe countries / Kozarevic, S.; Kozarevic, E.; Porretta, P.; Santoboni, F.. - STAMPA. - (2018), pp. 225-246. [10.5772/intechopen.68673].

Implementation of basel and solvency risk assessment standards in banks and insurance companies of south-eastern europe countries

Porretta P.
Writing – Original Draft Preparation
;
Santoboni F.
Writing – Original Draft Preparation
2018

Abstract

Since banks and insurance companies are financial institutions dealing with risks in various aspects of their business, it is important to make a general approach to the issue of risk and risk management from the perspective of these institutions. In that regard, we made a short overview of the risks these institutions are faced to as well as the methods they use for risk assessments. In order to limit our research to specific financial markets, we provided the basic characteristics of bank and insurance markets of Southeastern Europe (SEE), presenting the core indicators of development level of these markets and their legal and institutional environment related to new regulation proposed in Europe. We analyzed the level of implementation of Basel and Solvency risk assessment standards in these countries and tried to anticipate direction(s) where these markets are going to move in the coming period.
2018
Risk Assessment
978-953-51-3799-3
risk, risk assessment, banks, insurance companies, Basel, solvency, Southeastern Europe (SEE)
02 Pubblicazione su volume::02a Capitolo o Articolo
Implementation of basel and solvency risk assessment standards in banks and insurance companies of south-eastern europe countries / Kozarevic, S.; Kozarevic, E.; Porretta, P.; Santoboni, F.. - STAMPA. - (2018), pp. 225-246. [10.5772/intechopen.68673].
File allegati a questo prodotto
File Dimensione Formato  
Kozarevic_im,plementation_2018.pdf

accesso aperto

Tipologia: Versione editoriale (versione pubblicata con il layout dell'editore)
Licenza: Creative commons
Dimensione 2.54 MB
Formato Adobe PDF
2.54 MB Adobe PDF

I documenti in IRIS sono protetti da copyright e tutti i diritti sono riservati, salvo diversa indicazione.

Utilizza questo identificativo per citare o creare un link a questo documento: https://hdl.handle.net/11573/1144346
Citazioni
  • ???jsp.display-item.citation.pmc??? ND
  • Scopus ND
  • ???jsp.display-item.citation.isi??? ND
social impact