Master insurance company analysis through key performance indicators, risk management, and financial metrics in this comprehensive course.
Master insurance company analysis through key performance indicators, risk management, and financial metrics in this comprehensive course.
Gain advanced expertise in insurance company analysis and valuation. Learn about reserving practices across P&C, Life, and Annuity businesses, capital calculation methods, and risk-based capital requirements. Master reinsurance concepts and key performance indicators for analyzing insurance companies. Study risk management techniques and factors leading to company failures through practical case studies.
Instructors:
English
Arabic, German, English, 9 more
What you'll learn
Analyze insurance company capital and surplus components
Evaluate reinsurance strategies and their business impact
Identify early warning signs of insurance company financial distress
Assess the impact of variable changes on insurer financial results
Understand IFRS implications for the insurance industry
Skills you'll gain
This course includes:
PreRecorded video
Graded assignments, Exams
Access on Mobile, Tablet, Desktop
Limited Access access
Shareable certificate
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There are 6 modules in this course
This comprehensive course explores advanced concepts in insurance company analysis and risk management. Students learn about reserving practices, capital calculations, and risk-based capital requirements across different insurance sectors. The curriculum covers reinsurance strategies, key performance indicators, and financial ratio analysis. Special emphasis is placed on identifying warning signs of financial distress and understanding international accounting standards impact on the insurance industry.
Reserves / Capital
Module 1
Reinsurance
Module 2
Insurance Industry Key Performance Indicators
Module 3
Other Important Concepts
Module 4
Financial Ratios
Module 5
P&C Valuation Case Study
Module 6
Fee Structure
Instructor
NYIF Instructor Specializing in Portfolio Risk Management and Derivatives
Jack Farmer is an instructor at the New York Institute of Finance (NYIF), where he specializes in training and consulting solutions for portfolio risk management, foreign exchange (FX) and interest rate derivatives, equity index and volatility trading, as well as financial statement analysis and hedge accounting. He holds a BS in Engineering and an MBA in Finance and Accounting from Tulane University, and is currently pursuing a PhD in Finance from the University of Texas at Austin. Jack's extensive expertise enables him to effectively educate students on complex financial concepts and risk management strategies.
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Frequently asked questions
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