A practitioner's guide to the regulation of insurance

著者

    • Young, John

書誌事項

A practitioner's guide to the regulation of insurance

consultant editor, John Young

Sweet & Maxwell, 2011

4th ed

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注記

Includes bibliographical referernces and index

内容説明・目次

内容説明

This fully revised title examines the UK and European regulatory regimes and their impact on the insurance industry, providing practical advice for compliance officers and professional advisers charged with ensuring compliance within the industry. The text covers all aspects of the life and non-life insurance industries, from establishment, authorisation and ownership to conduct of business and financial supervision. There is also coverage of reinsurance, friendly societies and special categories of insurance business. In particular, the new edition will address the advent of the Solvency 2 Directive, which is a fundamental review of the capital adequacy regime for the European insurance industry, and the new UK regulatory architecture which will replace the FSA with separate bodies overseeing prudential regulation (PRA) and conduct of business (CPMA).

目次

  • Introduction
  • Authorisation of UK, EU and Overseas Insurance Companies
  • Ownership and Management of Insurance Companies
  • Financial Supervision
  • The Establishment of Branches and Cross-Border Provision of Services
  • Portfolio Transfers and Schemes of Arrangement
  • Sale and Administration of Non-Investment Insurance
  • Special Rules Relating to Certain Categories of General Insurance Business
  • Regulation of Long-Term Insurance
  • Sale and Administration of Life Assurance
  • The Regulation of Friendly Societies.

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