12/1/2008- 12/7/2008 Investment Guarantees
12/8/2008- 12/12/2008 Asset/Liability Management of Financial Institutions
12/13/2008- 12/25/2008 Risk Management
12/26/2008- 12/31/2008 Financial Statement Analysis: A Practitioners Guide
12/31/2008- 1/3/2009 Strategic Risk-Taking
1/4/2009- 1/6/2009 Life, Health and Annuity Reinsurance
1/7/2009 General American Life Can't Pay Investors
1/8/2009 Insurance OP Risk: The Big Unknown
1/9/2009 Mapping of Life Insurance Risks
1/10/2009 Moody's Looks at Risk Management & The New Life Insurance Risks
1/11/2009 Life Insurance Products and Finance: Annuity & Investment Products
1/12/2009 Variable Annuity - "No Loss" Propositions
1/13/2009 Life Insurance Pricing and the Measurement of the Duration of Liabilities
1/14/2009 Countering the Biggest Risk of All
1/15/2009 Moody's Looks at Terrorism Risk in the U.S. Life Insurance Industry
1/16/2009 Life Insurance Products and Finance: Pricing Assumptions
1/17/2009 "Theory and Practice of Model Risk Management"
1/18/2009 Dynamic Financial Models of Property-Casualty Insurers
1/19/2009 Use of Stochastic Techniques to Value Liabilities under Canadian
1/20/2009 E&Y Presentation on Fair Value Measurements Standard
1/21/2009 EVA & Strategy
1/22/2009 Modern Valuation Techniques
1/23/2009 CSFB Credit Portfolio Modeling Handbook
1/24/2009 CSFB Credit Portfolio Modeling Handbook
1/25/2009 Black Monday and Black Swans
1/26/2009 Integrated Risk Management
1/27/2009 Integrated Risk Management
1/28/2009 Integrated Risk Management
1/29/2009 Securitization of Life Insurance Assets and Liabilities
1/30/2009 Asset Liability Management for Insurers
1/31/2009 Asset/Liability Management, IASA Handbook
2/1/2009 Principles for the Management of Interest Rate Risk
2/2/2009 Hedging with Derivatives in Traditional Insurance Products
2/3/2009 Financial Oversight of Enron: The SEC & Private-Sector Watchdogs
2/4/2009 Letter to SEC Regarding Fitch Ratings View on Role & Function
2/5/2009 Dynamic Financial Condition Analysis Handbook
2/6/2009 Dynamic Financial Condition Analysis Handbook
2/7/2009 Dynamic Financial Condition Analysis Handbook
2/8/2009 Derivatives: Practice and Principles
2/9/2009 Investment Management for Insurers
2/10/2009 Key Rate Durations: Measures of Interest Rate Risks
2/11/2009 Long-Term Economic and Market Trends and Their Implications for ALM
2/12/2009 Variable Product Hedging Practical Considerations
2/13/2009 Hedging the Bet: Variable Annuity "Bells and Whistles"
2/14/2009 Credit Portfolio Management
2/15/2009 Why COSO is Flawed
2/16/2009 Internal Control - Guidance for Directors on the Combined Code
2/17/2009 Supervisory Framework - 1999 and Beyond
2/18/2009 No Assurance of Good Governance: Observations on Corporate Governance
2/19/2009 Insurance Criteria: Refining the Focus of Insurer ERM Criteria
2/20/2009 ERM - Integrated Framework: Executive Summary
2/21/2009 Risk Management and the Rating Process for Insurance Companies
2/22/2009 Performance Measurement Using Transfer Pricing
2/23/2009 Total Return Approach to Performance Measurement
2/24/2009 Managing the Invisible: Measuring Risk, Managing Capital, Maximizing Value
2/25/2009 Risk Measurement, Risk Management an dCapital Adequacy in Financial Cong.
2/26/2009 Death Benefit Focused UL
2/27/2009 ERM Specialty Guide
2/28/2009 Fixed Annuities in Low Interest Rate Environment
3/1/2009 Influenza Pandemics: Are We Ready for the Next One
3/2/2009 Managing Variable Policyholder Behavior Risk
3/3/2009 Whither the Variable Annuity
3/4/2009 Operational & Reputational Risks: Essential Components of ERM
3/5/2009 Actuaries, Stochasticity and Risk Management
3/6/2009 Overview of Embedded Value
3/7/2009 Economic Capital for Life Insurance Companies [2008]
3/8/2009 Fair Value - Financial Economics Perspective
3/9/2009 Fair Valuation of Insurance Liabilities: Principles and Methods
3/10/2009 FASB Summary of FAS 157
3/11/2009 Risk Aggregation for Capital Requirements Using the Copula Technique
3/12/2009 Liquidity Risk Measurement
3/13/2009 Actuarial Aspects of SOX 404
3/14/2009 Responsibilities of the Actuary for Communicating SOX Controls
3/15/2009 Application of Coherent Risk Measure to Capital Requirements in Insurance
3/16/2009 Risk Management: The Total Return Approach and Beyond
3/25/2009 Registration Deadline. Don't forget to register
4/30/2009 Refund Deadline. Better not chicken out
5/1/2009 Exam Date (8:30–11:45 a.m. and 1:30–4:45 p.m.) Enjoy the date!!
Total pages: 2419
12/8/2008- 12/12/2008 Asset/Liability Management of Financial Institutions
12/13/2008- 12/25/2008 Risk Management
12/26/2008- 12/31/2008 Financial Statement Analysis: A Practitioners Guide
12/31/2008- 1/3/2009 Strategic Risk-Taking
1/4/2009- 1/6/2009 Life, Health and Annuity Reinsurance
1/7/2009 General American Life Can't Pay Investors
1/8/2009 Insurance OP Risk: The Big Unknown
1/9/2009 Mapping of Life Insurance Risks
1/10/2009 Moody's Looks at Risk Management & The New Life Insurance Risks
1/11/2009 Life Insurance Products and Finance: Annuity & Investment Products
1/12/2009 Variable Annuity - "No Loss" Propositions
1/13/2009 Life Insurance Pricing and the Measurement of the Duration of Liabilities
1/14/2009 Countering the Biggest Risk of All
1/15/2009 Moody's Looks at Terrorism Risk in the U.S. Life Insurance Industry
1/16/2009 Life Insurance Products and Finance: Pricing Assumptions
1/17/2009 "Theory and Practice of Model Risk Management"
1/18/2009 Dynamic Financial Models of Property-Casualty Insurers
1/19/2009 Use of Stochastic Techniques to Value Liabilities under Canadian
1/20/2009 E&Y Presentation on Fair Value Measurements Standard
1/21/2009 EVA & Strategy
1/22/2009 Modern Valuation Techniques
1/23/2009 CSFB Credit Portfolio Modeling Handbook
1/24/2009 CSFB Credit Portfolio Modeling Handbook
1/25/2009 Black Monday and Black Swans
1/26/2009 Integrated Risk Management
1/27/2009 Integrated Risk Management
1/28/2009 Integrated Risk Management
1/29/2009 Securitization of Life Insurance Assets and Liabilities
1/30/2009 Asset Liability Management for Insurers
1/31/2009 Asset/Liability Management, IASA Handbook
2/1/2009 Principles for the Management of Interest Rate Risk
2/2/2009 Hedging with Derivatives in Traditional Insurance Products
2/3/2009 Financial Oversight of Enron: The SEC & Private-Sector Watchdogs
2/4/2009 Letter to SEC Regarding Fitch Ratings View on Role & Function
2/5/2009 Dynamic Financial Condition Analysis Handbook
2/6/2009 Dynamic Financial Condition Analysis Handbook
2/7/2009 Dynamic Financial Condition Analysis Handbook
2/8/2009 Derivatives: Practice and Principles
2/9/2009 Investment Management for Insurers
2/10/2009 Key Rate Durations: Measures of Interest Rate Risks
2/11/2009 Long-Term Economic and Market Trends and Their Implications for ALM
2/12/2009 Variable Product Hedging Practical Considerations
2/13/2009 Hedging the Bet: Variable Annuity "Bells and Whistles"
2/14/2009 Credit Portfolio Management
2/15/2009 Why COSO is Flawed
2/16/2009 Internal Control - Guidance for Directors on the Combined Code
2/17/2009 Supervisory Framework - 1999 and Beyond
2/18/2009 No Assurance of Good Governance: Observations on Corporate Governance
2/19/2009 Insurance Criteria: Refining the Focus of Insurer ERM Criteria
2/20/2009 ERM - Integrated Framework: Executive Summary
2/21/2009 Risk Management and the Rating Process for Insurance Companies
2/22/2009 Performance Measurement Using Transfer Pricing
2/23/2009 Total Return Approach to Performance Measurement
2/24/2009 Managing the Invisible: Measuring Risk, Managing Capital, Maximizing Value
2/25/2009 Risk Measurement, Risk Management an dCapital Adequacy in Financial Cong.
2/26/2009 Death Benefit Focused UL
2/27/2009 ERM Specialty Guide
2/28/2009 Fixed Annuities in Low Interest Rate Environment
3/1/2009 Influenza Pandemics: Are We Ready for the Next One
3/2/2009 Managing Variable Policyholder Behavior Risk
3/3/2009 Whither the Variable Annuity
3/4/2009 Operational & Reputational Risks: Essential Components of ERM
3/5/2009 Actuaries, Stochasticity and Risk Management
3/6/2009 Overview of Embedded Value
3/7/2009 Economic Capital for Life Insurance Companies [2008]
3/8/2009 Fair Value - Financial Economics Perspective
3/9/2009 Fair Valuation of Insurance Liabilities: Principles and Methods
3/10/2009 FASB Summary of FAS 157
3/11/2009 Risk Aggregation for Capital Requirements Using the Copula Technique
3/12/2009 Liquidity Risk Measurement
3/13/2009 Actuarial Aspects of SOX 404
3/14/2009 Responsibilities of the Actuary for Communicating SOX Controls
3/15/2009 Application of Coherent Risk Measure to Capital Requirements in Insurance
3/16/2009 Risk Management: The Total Return Approach and Beyond
3/25/2009 Registration Deadline. Don't forget to register
4/30/2009 Refund Deadline. Better not chicken out
5/1/2009 Exam Date (8:30–11:45 a.m. and 1:30–4:45 p.m.) Enjoy the date!!
Total pages: 2419
