Search results
Results: 11
Number of items: 11
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Nuhn, R., & Doff, R. (2020). Hoe passen verzekeraars scenario's toe in het kader van de ORSA? MAB : Maandblad voor accountancy en bedrijfseconomie, 94(9/10), 379-389. https://doi.org/10.5117/mab.94.54831 -
Doff, R. (2016). The Final Solvency II Framework: Will It Be Effective? The Geneva Papers on Risk and Insurance. Issues and Practice, 41(4), 587–607. https://doi.org/10.1057/gpp.2016.4
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Doff, R. (2015). Why operational risk modelling creates inverse incentives. Journal of Financial Regulation, 1(2), 284-289. https://doi.org/10.1093/jfr/fjv005
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Doff, R. (2015). Risk management for insurers: risk control, economic capital and Solvency II (3rd edn). Risk Books. http://riskbooks.com/risk-management-for-insurers-third-edition
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Doff, R. (2009). Solvency II bij verzekeraars: een analyse van jaarrekeningen. MAB, 83(11), 364-372. http://mab-online.nl/downloaden/727/Solvency-II-bij-verzekeraars-een-analyse-van-jaarrekeningen
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Doff, R., Bilderbeek, J., Bruggink, B., & Emmen, P. (2009). Performance management in insurance firms by using transfer pricing. Risk Management and Insurance Review, 12(2), 213-226. https://doi.org/10.1111/j.1540-6296.2009.01164.x
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Doff, R. (2009). De impact van de kredietcrisis op verzekeraars. Economisch-Statistische Berichten, 94(4554), 121-123. http://esbonline.sdu.nl/esb/esb/archief/abbo1/toonartikel1.jsp?di=466885
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Doff, R. R. (2008). A Critical Analysis of the Solvency II Proposals. The Geneva Papers on Risk and Insurance. Issues and Practice, 33(2), 193–206. https://doi.org/10.1057/gpp.2008.2
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