Capital management
Establishing a strong foundation
OVERVIEW
Milliman capital management solutions

Economic capital modeling
Learn more
Actuarial transformation solutions
Learn moreInsight
Milliman capital management insight
White paper
Current state of foreign currency (FX) fluctuations and risk management considerations for P&C insurers
As UK and European (re)insurers reassess their foreign-currency risk exposures, we present high-level insights from a survey of industry executives.
White paper
Interest rate risk hedging of JPY-denominated insurance liabilities
Our analysis of Japanese life insurers shows a significant expansion in recent years of derivatives as a tool for managing duration exposure.
Article
Leveraging MCEV reporting to set up US GAAP reporting
We help guide life insurers in Asia that need to make the transition to a US GAAP reporting structure from the Market Consistent Embedded Value (MCEV) method.
White paper
Introducing InnovatIV™: A forward-looking volatility control index methodology anchored in option-implied risk
To address the shortcomings of volatility control index product design for index-linked annuities, we introduce a forward-looking methodology anchored in option-implied risk.
RELATED PRODUCTS
Milliman capital management products
Financial modeling & industrialization
Integrate
Solvency II reporting & compliance
VEGA
Reserve and liability modeling
NAVI
Solvency II compliance
Solvency II Compliance Assessment Tool
Mortgage platform for investments & reinsurance
Milliman M-PIRe
RELATED SERVICES
