Investec launches Solvency II reporting solution
Investec Wealth and Investment has launched a Solvency II
reporting solution for financial mutual and insurance companies.
The solution, designed with input from existing clients and
industry actuaries, demonstrates Investec’s concept of combing direct equities,
corporate bonds, gilts, collectives and alternative assets to achieve the
optimum investment solutions for its clients.
The Solvency II regulatory regime came force in the EU in
January 2016, aimed at consistently measure the capital in insurers across
Europe.
Investec developed the solution as a response to market
demand for cost-efficient tools to meet the additional reporting, risk and
governance challenges set by Solvency II.
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