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  • OpenMetrics

Financial Risk Monitoring by Control Strategies

Updated: Apr 24, 2019

In this article we give a brief overview and examples on enhanced risk monitoring using recent developed stability control strategies. These are new useful tools for a better capital protection, risk and stability management in life insurance and pension fund companies.

Two new risk control strategies are explained: Binary Switching Stability Monitoring, and Stability Weighted Rating and Ranking. The strategies presented here are tailored to valuate risk by a steady increase, by low volatilities, by small drawdowns and by short recovery times

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