Insurance Portfolio Management
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I have enjoyed everything at LCT. You have committed facilitators and organised managers who have made LCT a wonderful place. I will be back next year for a Finance course. Thank you so much. I will recommend this institution in Uganda.
← | →
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LCT is a very nice training institution
← | →
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The location / venue of the program is excellent and the LCT staff have excellent customer service attitude. Really felt welcome.
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Short course
In London
Be able of comprehending commercial aspects of risk management!
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Type
Short course
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Level
Intermediate
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Location
London
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Duration
1 Week
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Start date
October
other dates
Understand commercial aspects of risk management with this Insurance Portfolio Management, organized by London Corporate Training.
The course curriculum commences with an exploration of the concept of risk, both geographic, asset concentration and liquidity risk and expands throughout the five-day schedule to incorporate portfolio stress testing tools, the legal aspects of compliant portfolio management and concludes with continuous improvement strategies.
If you want to take this training, ask for further details pushing the online button “request information”.
Facilities
Location
Start date
Start date
About this course
Effective insurance portfolio management is designed for delegates from within the insurance sector with direct responsibility for overall commercial and risk management, including underwriting staff, risk managers, and compliance managers.
Reviews
-
I have enjoyed everything at LCT. You have committed facilitators and organised managers who have made LCT a wonderful place. I will be back next year for a Finance course. Thank you so much. I will recommend this institution in Uganda.
← | →
-
LCT is a very nice training institution
← | →
-
The location / venue of the program is excellent and the LCT staff have excellent customer service attitude. Really felt welcome.
← | →
Course rating
Recommended
Centre rating
Nixon Kamu Kawa (?)
Meshari Alsaarb
Laryea Eric
This centre's achievements
All courses are up to date
The average rating is higher than 3.7
More than 50 reviews in the last 12 months
This centre has featured on Emagister for 15 years
Subjects
- IT risk
- Risk
- Insurance
- Financial
- Financial Training
- Portfolio Management
- Business Organisation
- Financial Risk
- Risk Analysis
- Insurance Policy
Course programme
Key Insurance Portfolio Dynamics
- Overview of insurance portfolio dynamics
- Premium vs. risk exposure
- Effective liquidity measurement
- Measuring on-going profitability
Effective Portfolio Risk Management
- Understanding the concept of risk
- Concentration risk
- Geographic risk
- Fraud risk
Practical Portfolio Stress Testing
- Multi-variate scenario planning concepts
- Monte Carlo stress testing
- Root cause analysis techniques
- Financial ratio analysis methodology
Legal Aspects of Portfolio Management
- Overview of global regulatory frameworks
- Management of client premiums
- Anti-money laundering regulatory compliance
- Case study review and analysis – Robert Maxwell Media Group
Continuous Improvement
- Use of technology – including financial modelling and fraud detection
- Enhancing the underwriting process to reduce risk
- Enhancing the claims validation process
- The impact of the loss adjuster role
Insurance Portfolio Management