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2025 SFCR Report

create capital synergies in line with the Monument Group strategy. Through a strategy of reinsurance and/or acquisition, the Monument Group looks to assume asset based risks within its risk appetite, and efficiently operate these businesses or... portfolios through reinsurance or acquisition. In executing its dual insurance and reinsurance strategy, the Company looks to assume asset-based risks within its risk appetite, and efficiently operate these businesses or portfolios. The focus

2024 SFCR Report

; and ▪ Drive risk diversification and create capital synergies in line with the Monument Group strategy. Through a strategy of reinsurance and/or acquisition, the Monument Group looks to assume asset based risks within its risk appetite, and efficiently

2023 SFCR Report

and/or acquisition, the Monument Group looks to assume asset based risks within its risk appetite, and efficiently operate these businesses or portfolios. The focus includes two principal areas, namely: ▪ Acquisition of portfolios or insurers

2022 SFCR Report

Monument Group looks to assume asset based risks within its risk appetite, and efficiently operate these businesses or portfolios. The focus includes two principal areas, namely: ▪ Acquisition of portfolios or insurers, primarily those in run-off and..., inflationary pressures, real-estate and equity market downturns. ▪ Thanks to disciplined financial hedging strategies and the IGR, the economic own funds of Monument were not negatively affected. ▪ In accordance with its risk appetite and investment strategy

2021 SFCR Report

Monument Group looks to assume asset based risks within its risk appetite, and efficiently operate these businesses or portfolios. The focus includes two principal areas, namely: ▪ Acquisition of portfolios or insurers, primarily those in run-off and... through reinsurance or acquisition. In executing this dual insurance and reinsurance strategy, the Company looks to assume asset based risks within its risk appetite, and efficiently operate these businesses or portfolios. The focus includes two

Information on ESG

a “run-off” consolidator). MAB is therefore endeavoring to meet its existing obligations to its customers prudently and efficiently. ▪ Integrating ESG risks into our business ▪ We have a low appetite for sustainability risks. We ensure that the financial