Abstract
This chapter contains a discussion on risks of financial conglomerates (chapter 4) and on the solvency regulations for financial conglomerates (chapter 5 and 6, which were originally respectively paper III and paper IV in the workshop). The discussion in paragraph 7.1. and 7.2. by Simonson and Løining will concentrate on the solvency regulation in Norway. Paragraph 7.3. by J. Roos gives a short review of the risk-based capital system in the United States. Paragraph 7.4., 7.5. and 7.6. contain the discussion by respectively Holsboer, Knaut and Pearson on the chapters 4, 5 and 6.
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© 1995 Springer Science+Business Media Dordrecht
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Van den Berghe, L. (1995). Financial conglomerates, solvency and risks. In: Van den Berghe, L. (eds) Financial Conglomerates. Springer, Dordrecht. https://doi.org/10.1007/978-94-011-0413-5_7
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DOI: https://doi.org/10.1007/978-94-011-0413-5_7
Publisher Name: Springer, Dordrecht
Print ISBN: 978-0-7923-3796-6
Online ISBN: 978-94-011-0413-5
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