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Event

The value of capital after the Pandemic:

25.05.2022 10:00 - 13:30
Between ESG and Solvency II Review.

Presentation of the workshop

The workshop aims to identify the major changes expected in the world of insurance risk management with the revision of the Solvency II framework and the integration of sustainability risk.

Among the topics covered in the meeting:

  • Toward Solvency III: the main effects
  • IFRS17 and Solvency II: what are the synergies
  • Stress test and pendemic period: what we learned
  • ESG and RAF: methodological aspects, metrics and data quality
  • Capital and profitability in the insurance industry

Agenda of the day

Chiara Frigerio
Professor of Business Organization and Secretary General Cetif
Università Cattolica del Sacro Cuore
Opening remarks.
Alberto Floreani
Core Faculty
Università Cattolica del Sacro Cuore
IFRS 17: innovations in income statement and performance measurement
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Stefano Bruno
Adjunct Faculty
CNP UniCredit Vita
The role of the risk manager-from climbing mountains (pandemic, war) to stumbling on the plains (the uncertainties of new or evolving regulations)
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Francesco Merlin
Chief Risk Officer
Poste Vita
Stress. Coping with market volatility, regulatory measures, and the fallout from the pandemic
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Stefano Spizzamiglio
Chief Risk Officer
Generali Global Business Lines
Emerging post-pandemic risks: Cyber risk between risk assessment and business opportunities
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Stefano Suman
P&C Chief Risk Officer and Head of Financial Risk Modelling & Aggregation.
AXA Insurance
Climate Change and Non-Life Insurance
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Proceedings of the event