Kuzmenko О. The company's insurance portfolio governance in the transformation of financial market

Українська версія

Thesis for the degree of Candidate of Sciences (CSc)

State registration number

0416U003218

Applicant for

Specialization

  • 08.00.08 - Гроші, фінанси і кредит

12-05-2016

Specialized Academic Board

Д 55.081.01

Essay

The paper investigates the nature of the insurance portfolio, reviews kinds and types of insurance portfolios, defines the essence of balanced insurance portfolio. The theoretical and practical aspects of management of the insurance portfolio in Ukraine are analyzed; the basic stages of this process and the principles of the insurance portfolio management are explored. Changes in insurance companies' policy on the formation and management of an insurance portfolio due to the influence of transformations in the financial market are identified and investigated in the following aspects: organization of relations between the insured and the insurance company; selecting the type of insurance portfolio; selection of risks and optimization of insurance portfolio. The analysis of the development of financial and banking insurance in Ukraine is conducted; the role of financial and banking risks in insurance portfolio is examined. The paper provides the study of the development of insurance of banking risks under the influence of the transformation of the financial market in the context of two major areas: determination of the basic stages of banking and insurance integration and the analyses of the new kinds of bancassurance products. Thesis is devoted to make the quantitative evaluation of potential development of bank assurance in Ukraine and to find the principal vector of further cooperation between banks and insurers.

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