Talanx holds €1.7bn buffer against model, emerging and strategic risks

Published in: Risk, Risk management, Risk Models, Capital, Corporate strategy, Capital management, Financial results, Capital Models, Regulation, Solvency II, Investment, Investment risk - strategy, Rest of Europe

Companies: Talanx, Standard & Poor's, Hannover Re, BaFin

Voluntarily allocates 10% of own funds to cover uncertainties

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