Nonconditional franchise influence on insurance tariff

The impact of the size of the unconditional deductible on the distribution of the value of the insured loss and the size of the net insurance rate in risk insurance. Characteristics of conditional and unconditional franchise in property insurance.

Подобные документы

  • The convention of monetary theory assume the central banking system as the starting point for achieving the stability and efficiency of the financial system. This paper stresses the stability-efficiency thesis based on the Austrian business cycle theory.

    статья, добавлен 04.09.2024

  • The study of the set of financial relations in the creation, distribution and use of funds by the banking system. Analysis of the mechanism of formation of the bank's resource base. Search for ways of lending, investing and conducting active operations.

    статья, добавлен 26.12.2023

  • Виды и источники банковских доходов, риски и связь с финансовыми показателями. Связь некредитных доходов и финансовых показателей. Классификация некредитных доходов банков. Непроцентные доходы, risk-adjusted рентабельность, волатильность рентабельности.

    магистерская работа, добавлен 30.08.2016

  • Анализ и оценка кредитного риска кредитного портфеля конкретного коммерческого банка с применением методологии Value-at-Risk. Основные компоненты при вычислении данного показателя: необходимая длина временного интервала, а также доверительный уровень.

    научная работа, добавлен 28.12.2010

  • How investors make decisions in conditions of risk in the stock markets. Whether the participants in the stock market act rationally. Theory of rational choice and theory of prospects. The behavior of private and professional players in the market.

    статья, добавлен 28.09.2016

  • Development of a scheme of stress testing in a commercial bank. Its main tasks, stages of the procedure and approaches to the assessment of individual risks. Use of the proposed approach in assessing potential risks in the conditions of Ukrainian banks.

    статья, добавлен 28.12.2018

  • Key monetary policy tools and objectives. The European Central Bank key policy tools and procedures. Ordered response models. Cross-nested ordered probit: econometric setup and performance evidence. The rotating schemes. Google data performance.

    дипломная работа, добавлен 30.07.2016

  • Організація реструктуризації кредитної заборгованості юридичних осіб в умовах сучасних економічних реалій вітчизняної економіки. Проводиться аналіз та порівняння ряду програмних продуктів, таких як SAS Risk Management, Moody's Analytics, RiskWatch.

    статья, добавлен 17.09.2024

  • Dividend policy as one of the important factors in determining the investment attractiveness of companies' securities and making a decision to buy or sell them. The role of dividend policy in the value of the company on the example of PAO Severstal.

    статья, добавлен 22.09.2022

  • The banking system is a key element of the financial system. Factors affecting the stability of the Russian banking system. The role of the probability of default in the process of risk management. The rating of banks based on their likelihood of default.

    дипломная работа, добавлен 30.08.2016

  • The estimated coefficients of the U.S. banking sector. Ranking of multiples of projected financial indicators according to their effectiveness for a period of from 30 to 200 days. The account of influence of factors on the accuracy of the estimation.

    дипломная работа, добавлен 30.07.2016

  • Outline of the financial situation of Ukraine during the ongoing war, actions of the National Bank to ensure the financial stability of the country in emergency conditions. The impact of the war on the financial condition of the banking sector.

    статья, добавлен 12.05.2024

  • Analysis of the problems of developing adequate trading strategy based on predicting the future values of stocks and indices, using linear and nonlinear models ARIMA, ANN. Assessing the impact of the merger on the method of projections for both indices.

    курсовая работа, добавлен 30.08.2016

  • American stock exchanges can be called the main financial center of the world, since the dynamics of the Dow Jones and S&P 500 indices play a decisive role on the stock exchanges of other countries. The many factors that influence the US stock market.

    статья, добавлен 08.06.2024

  • Characteristics of the phenomenon of mass bankruptcies of Russian banks in the period from 2013 to 2019. Features of identifying effective banking strategies that can positively affect its results. Consideration of the functions of credit institutions.

    дипломная работа, добавлен 10.08.2020

  • The concept and the main causes of bad loans, an assessment of their prevalence in modern banking system of Ukraine. Their financial rationale and ways to solve this problem. The process of checking the quality of a bank loan, requirements to it.

    презентация, добавлен 18.04.2016

  • Identification of the characteristics of bank profit. Analysis of its components and sources of formation. Factors that negatively affected the amount of profit in 2022. Increased allocations to provisions for incurred and expected losses due to the war.

    статья, добавлен 15.04.2024

  • Specific features of contemporary financial and banking markets are studied. Recent appearance of a basically new financial institution called "neobank" and its influence on economic environment worldwide are explored. The reasons causing its appearance.

    статья, добавлен 07.10.2018

  • Mobile banking as the Bank account management using tablet computer, smartphone or regular phone. Mobile banking development and its characteristics. Multinomial logit and probit regression results for the effect of ease of use on banking usefulness.

    дипломная работа, добавлен 19.08.2016

  • Investigation of the influence of various microeconomic financial and macroeconomic factors on the probability of a bank default. Analysis of the main reasons for revoking a banking license by the Central Bank of Russia using two binary choice models.

    дипломная работа, добавлен 01.12.2019

  • Study the nature, structure, stages of formation of the credit system. Determination of the functioning of commercial banks and their impact on the development of a credit system of Ukraine in conditions of market transformation of the national economy.

    статья, добавлен 24.02.2016

  • Electronic banking, as an activity of financial-credit institutions providing complex services to customers with the help of computer technology. Characteristics of the main factors influencing the decision of clients to use this banking technology.

    статья, добавлен 30.08.2016

  • Sberbank as the circulatory system of the Russian economy. Consideration of the customer base. Characteristics of the largest issuers of debit and credit cards. Consideration of the work of qualified professionals, aimed at improving the service sector.

    презентация, добавлен 17.12.2014

  • The article presents one fixed-effect and two random-effect regression models detailing the directions and strength of influence of independent variables on dependent variables (INFLATION, UN- EMPL, GINI - indicators of macroeconomic stability).

    статья, добавлен 03.09.2024

  • The impact of monetary control on banks’ investment in securities. Research of current objectives and tools of banking investment, as well as peculiarities of their realization in the context of the monetary policy carried out by the Bank of Russia.

    статья, добавлен 26.06.2018

Работы в архивах красиво оформлены согласно требованиям ВУЗов и содержат рисунки, диаграммы, формулы и т.д.
PPT, PPTX и PDF-файлы представлены только в архивах.
Рекомендуем скачать работу и оценить ее, кликнув по соответствующей звездочке.