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How Do You Optimize Risk in Multi-Product Enterprises?

General Re-New England Asset Management, Inc. (GR-NEAM)

General Re-New England Asset Management, Inc. (GR-NEAM)
Jim Bachman, Vice President, Capital Management

Runtime: 6:56

Key Takeaways:

  1. Traditional asset/liability matching ignores critical risk metrics and potential levels of risk.
  2. The Enterprise Capital Return and Risk Management (SM) methodology is used to identify, measure and manage the return/risk trade-offs from products, investments and leverage across the enterprise.
  3. The primary benefit of the methodology is that it provides a 360-degree view of risk across the enterprise.
  4. Critical success factors in implementing the methodology:
    • Integrated business management process
    • Governance and accountability
    • Broad-based organizational participation
    • Technology as an enabler, not an outcome

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