2010 年第4 期 : 通胀对保险公司的影响

Inflation describes the economic phenomenon of increasing prices for goods and services. During the financial crisis, inflation risk was a real concern for many financial institutions. Insurers in particular identified it as one of their top risk management concerns because it affects investment returns, asset valuations and future insurance liabilities.

2010 年第4 期 : 通胀对保险公司的影响

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