Consideration of nonperformance risk
How significant is consideration of nonperformance risk (including credit risk) likely to be in the measurement of fair value for an insurance or investment contract liability?
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How should investment companies account for transaction costs under FAS 157?
How should an insurance company identify potential exit markets for insurance contracts and for embedded derivatives in such contracts?
How should an insurance company incorporate insurance contract acquisition costs in the fair value measurement?
How much should a sterling bond cost today if it promises to pay £100 at time 1? Hint: The forward contract is based on an asset involving negative carrying costs.
Last Year sales were $140,000, net operating income was $65,000, and average operating assets were $300,000. If sales next year remain the same as last year and expenses and average operating assets are reduced by 5%, what will be the return on i
How should an insurance company consider nonperformance risk relating to separate components of a hybrid insurance contract?
Suppose the interest rate r is constant. Given S(0), find the price S(1) of the stock after one day such that the marking to market of futures with delivery in 3 months is zero on that day.
How should an insurance company consider guarantees related to future contract deposits?
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