This thesis presents an internship experience carried out at an insurance company and explores the topic of financial risk management in the insurance sector. The first part provides an overview of the host organization, including an analysis of its history, structure, key economic and financial data, and its position within the competitive environment. This is followed by a detailed description of the internship, focusing on the role held, the activities performed, and the skills acquired. The final section of the thesis offers an in-depth analysis of financial risk management in insurance companies, examining the investment instruments used, asset-liability management (ALM) techniques, and the related regulatory framework, with specific reference to Solvency II. The work concludes with a comparison between banks and insurance companies in terms of investment strategies and risk management, highlighting the growing convergence between the two sectors.
La tesi presenta un’esperienza di stage svolta presso una compagnia assicurativa e approfondisce il tema della gestione del rischio finanziario nel settore assicurativo. Nella prima parte viene presentata l’organizzazione ospitante, attraverso un’analisi della sua storia, struttura, principali dati economico-finanziari e posizionamento nel contesto competitivo. Segue una descrizione dettagliata dello stage, con riferimento al ruolo ricoperto, alle attività svolte e alle competenze acquisite. La parte finale della tesi è dedicata a un approfondimento sul tema del rischio finanziario nelle compagnie assicurative: vengono analizzati gli strumenti di investimento utilizzati, le tecniche di asset-liability management (ALM) e le implicazioni normative con riferimento a Solvency II. Il lavoro si conclude con un confronto tra banche e assicurazioni in merito alle strategie di investimento e gestione del rischio, evidenziando le convergenze tra i due settori.
La gestione del rischio finanziario nelle compagnie assicurative
BUSON, LINDA
2024/2025
Abstract
This thesis presents an internship experience carried out at an insurance company and explores the topic of financial risk management in the insurance sector. The first part provides an overview of the host organization, including an analysis of its history, structure, key economic and financial data, and its position within the competitive environment. This is followed by a detailed description of the internship, focusing on the role held, the activities performed, and the skills acquired. The final section of the thesis offers an in-depth analysis of financial risk management in insurance companies, examining the investment instruments used, asset-liability management (ALM) techniques, and the related regulatory framework, with specific reference to Solvency II. The work concludes with a comparison between banks and insurance companies in terms of investment strategies and risk management, highlighting the growing convergence between the two sectors.| File | Dimensione | Formato | |
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https://hdl.handle.net/20.500.12608/89232