Optimizing Insurance Portfolio Management with AI

Authors

  • Dr. Amira Bennani Associate Professor of Computer Science, Mohammed V University of Agdal (UM5), Morocco Author

Keywords:

Insurance Portfolio, AI

Abstract

Managing insurance portfolios effectively is crucial given today’s financial economics context. The continuous evolution of the insurance market not only generates potential opportunities but also significantly increases the chance of stating insurance exhibits financial economic behavior. Insurance is included in the duality of insurance and financial services. The insurance industry has gradually built a foray into diversification to enhance efficiency and profitability, enhanced competitive market power, and provided the possibility of sharing subject-specific knowledge. In summary, the historical evolution of insurance portfolio management is mainly through a careful choice of strategy and insurance policy. Today, intense competition, changing regulation, digital transformation, low-interest-rate environment, and not the least accelerated evolution of new technology are expected to drive the insurance market and significantly change the insurance business.

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Published

11-12-2023

How to Cite

[1]
D. A. Bennani, “Optimizing Insurance Portfolio Management with AI”, J. of Artificial Int. Research and App., vol. 3, no. 2, pp. 729–738, Dec. 2023, Accessed: Dec. 26, 2024. [Online]. Available: https://aimlstudies.co.uk/index.php/jaira/article/view/279

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