Description

Book Synopsis
A comprehensive guide to investment guarantees in equity-linked life insurance
Due to the convergence of financial and insurance markets, new forms of investment guarantees are emerging which require financial service professionals to become savvier in modeling and risk management. With chapters that discuss stock return models, dynamic hedging, risk measures, Markov Chain Monte Carlo estimation, and much more, this one-stop reference contains the valuable insights and proven techniques that will allow readers to better understand the theory and practice of investment guarantees and equity-linked insurance policies.
Mary Hardy, PhD (Waterloo, Ontario, Canada), is an Associate Professor and Associate Chair of Actuarial Science at the University of Waterloo and is a Fellow of the Institute of Actuaries and an Associate of the Society of Actuaries, where she is a frequent speaker. Her research covers topics in life insurance solvency and risk management, with particular emphas

Table of Contents
Introduction.

Investment Guarantees.

Modeling Long-Term Stock Return.

Maximum Likelihood Estimation for Stock Return Models.

The Left-Tail Calibration Method.

Markov Chain Monte Carlo (MCMC) Estimation.

Modeling the Guarantee Liability.

A Review of Option Pricing Theory.

Dynamic Hedging for Separate Account Guarantees.

Risk Measures.

Emerging Cost Analysis.

Forecast Uncertainty.

Guaranteed Annuity Options.

Equity-Indexed Annuities.

Appendix A: Mortality and Survival Probabilities.

Appendix B: The GMAB Option Price.

Appendix C: Actuarial Notation.

Appendix D: References.

Index.

Investment Guarantees

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    A Hardback by Mary Hardy

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      Publisher: John Wiley & Sons Inc
      Publication Date: Publication Date: 14/03/2003
      ISBN13: 9780471392903, 978-0471392903
      ISBN10: 0471392901

      Description

      Book Synopsis
      A comprehensive guide to investment guarantees in equity-linked life insurance
      Due to the convergence of financial and insurance markets, new forms of investment guarantees are emerging which require financial service professionals to become savvier in modeling and risk management. With chapters that discuss stock return models, dynamic hedging, risk measures, Markov Chain Monte Carlo estimation, and much more, this one-stop reference contains the valuable insights and proven techniques that will allow readers to better understand the theory and practice of investment guarantees and equity-linked insurance policies.
      Mary Hardy, PhD (Waterloo, Ontario, Canada), is an Associate Professor and Associate Chair of Actuarial Science at the University of Waterloo and is a Fellow of the Institute of Actuaries and an Associate of the Society of Actuaries, where she is a frequent speaker. Her research covers topics in life insurance solvency and risk management, with particular emphas

      Table of Contents
      Introduction.

      Investment Guarantees.

      Modeling Long-Term Stock Return.

      Maximum Likelihood Estimation for Stock Return Models.

      The Left-Tail Calibration Method.

      Markov Chain Monte Carlo (MCMC) Estimation.

      Modeling the Guarantee Liability.

      A Review of Option Pricing Theory.

      Dynamic Hedging for Separate Account Guarantees.

      Risk Measures.

      Emerging Cost Analysis.

      Forecast Uncertainty.

      Guaranteed Annuity Options.

      Equity-Indexed Annuities.

      Appendix A: Mortality and Survival Probabilities.

      Appendix B: The GMAB Option Price.

      Appendix C: Actuarial Notation.

      Appendix D: References.

      Index.

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