Passing Stress Tests With Convertible Bond Strategies

By Dan Partlow and Hart Woodson ( November 7, 2017, 12:52 PM EST) -- Solvency II has been a challenging regulation for European insurers, who are trying to balance a worst-case industry risk scenario while trying to maintain healthy returns on invested assets. The Solvency Capital Requirement (SCR) includes a series of stress tests that themselves can be stressful to prepare for. Insurers need to look at a variety of investment strategies that can help them perform well on these stress tests and stay in line with regulatory requirements....

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