An (Re)insurance risk/portfolio analytic frame work for underwriters/actuaries/risk professionals to select/construct (an) optimal scenarios given risk variable(s) and risk reward(s). Risk vs Rewards can be customized.
Risks could be shortfall, expected loss, conditional loss, volativity and etc
Rewards could be profit, premium, positive margin, positive return and etc
Customization could be consider correlation between risk(s), additional insight on sensitivity of scenario(s).
Underwriters could use it to write risks. Actuaries could use it to price risks. Risk managers could use it to allocate capital structures.
8 freelancers are bidding on average $6458 for this job
Kindly accept my bid for your Insurance Portfolio Analysis Platform project and be assured of a high quality work with our highly experienced and dedicated developers. Thanks
Thanks for your consideration, please see our message and if you would like to discuss the project further do get in touch and I’ll give you a call.
Greetings! We are ready to work on your project. However, we are going to need a more detailed description, or we'd like to contact you and discuss the possible peculiarities and bottlenecks of the system. Thank you!