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dc.contributor.author Alyakina D.
dc.contributor.author Khisamova G.
dc.date.accessioned 2018-09-18T20:38:35Z
dc.date.available 2018-09-18T20:38:35Z
dc.date.issued 2014
dc.identifier.issn 2039-9340
dc.identifier.uri https://dspace.kpfu.ru/xmlui/handle/net/142022
dc.description.abstract © 2014, Mediterranean Center of Social and Educational Research. All rights reserved. The article proposes a methodology for rating of insurance portfolio, which allows the insurance company to ensure the financial stability and solvency. The authors propose the use of three groups of methods to assess the insurance portfolio - mathematical and statistical methods, methods of economic analysis, and an analysis of the subjective characteristics of the portfolio. Comprehensive assessment of the insurance portfolio adequately formulate targets of the insurance company.
dc.relation.ispartofseries Mediterranean Journal of Social Sciences
dc.subject Evaluation of quality of insurance portfolio
dc.subject Insurance portfolio
dc.subject Insurance reserves
dc.subject Methods of evaluation of insurance portfolio
dc.subject The main index number of insurance portfolio
dc.title Methodology for rating of insurance portfolio
dc.type Article
dc.relation.ispartofseries-issue 24
dc.relation.ispartofseries-volume 5
dc.collection Публикации сотрудников КФУ
dc.relation.startpage 137
dc.source.id SCOPUS20399340-2014-5-24-SID84911362536


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  • Публикации сотрудников КФУ Scopus [24551]
    Коллекция содержит публикации сотрудников Казанского федерального (до 2010 года Казанского государственного) университета, проиндексированные в БД Scopus, начиная с 1970г.

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