| Introduction - John Moore |
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| Reinsurer perspective - Ian Branagan, RenaissanceRe |
On request |
| Strategic decisions in a Solvency II world - Marc Beckers |
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| Navigating today's underwriting cycle - Steve Mildenhall |
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| Analyst perspective - William Hawkins, KBW |
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| Non-modelled perils - Steve Edwards, Aon Benfield UCL Hazard Centre |
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| Breakout Sessions |
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| Exploring risk appetite in an evolving risk climate – Chris Myers/Paul Kaye |
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| An optimal insurer in a post-Solvency II world – Gareth Haslip/Tessa Moulton |
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| Model evaluation – Ben Fox |
On request |
| Hot topics in emerging markets – Rade Musulin |
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| Cookbook of Reinsurance Analysis – Stephan Schuetzeck |
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| A model way to manage uncertainty – Adam Podlaha |
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| The broker’s traditional advice versus an analytical approach – Paul Maitland |
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| Unravelling IFRS 4: the next phase for the reinsurance buyer – Hideyuki Yoshida |
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| Catastrophe models and Solvency II – Paul Miller |
On request |
| Evaluating reinsurer security in today’s market – Mike Van Slooten |
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| Local lessons for reinsurance buying – Marc Beckers/Emmanuel Le Floc’h |
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| Challenges in European windstorm modelling – Joaquim Pinto, Cologne Uni |
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