Berlin 2015 – wissenschaftliches Programm
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SOE: Fachverband Physik sozio-ökonomischer Systeme
SOE 4: Financial Markets and Risk Management
SOE 4.5: Vortrag
Montag, 16. März 2015, 11:45–12:00, MA 001
Solcency II directive and stability of financial markets — •Daniil Osipov and Zere Toleuberdi — KBTU, Almaty, Kazakhstan
We propose a model of financial instability based on the Lotka-Volterra equations with specific attention given to the international regulatory accords (Basel II, Basel III for banks, and Solvency II Directive for insurance companies). The model describes the relationship between industry and financial sector, and it helps to understand and to measure the counter-cyclicality effect of Solvency II regulation.