Nurul Syuhada, Zaidi and Nazaria, Md Aris and Suzila, Mohamed Yusof (2018) The Impact of Financial Crisis on Insurance Sector and the Regulatory Response. UNIMAS Review of Accounting and Finance, 1 (1). pp. 13-21. ISSN 2590-3543
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Abstract
This paper aims to discuss what happen during the 2008 financial crisis and the reason behind it. This paper also aims to analyze the impact of the financial crisis to insurance sector and how they react. This paper also discussed the Solvency II (applied by the European Commission) as well as the Malaysian Risk-Based Capital. Lastly, this paper also provides some observation and suggestion on how similar crisis can be avoided in the future as well as ways to improve the regulations.
Item Type: | Article |
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Uncontrolled Keywords: | risk management, insurance, Solvency II, Risk-Based capital, unimas, university, universiti, Borneo, Malaysia, Sarawak, Kuching, Samarahan, ipta, education, research, Universiti Malaysia |
Subjects: | H Social Sciences > HC Economic History and Conditions H Social Sciences > HG Finance |
Divisions: | Academic Faculties, Institutes and Centres > Faculty of Economics and Business Faculties, Institutes, Centres > Faculty of Economics and Business |
Depositing User: | Karen Kornalius |
Date Deposited: | 17 Jun 2019 06:58 |
Last Modified: | 02 May 2021 22:51 |
URI: | http://ir.unimas.my/id/eprint/25300 |
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