Notice 125 Investments of Insurers
Requirements and principles that shall govern insurers' investment activities.
This notice applies to all licensed insurers.
It sets out the requirements and principles that shall govern the oversight of investment activities of insurers, including the investments of their insurance funds and shareholders' funds.
Amendment Notes
- 22 Apr 2013
- Notice 125 (Amendment) 2013 (69.7 KB)takes effect.
- 02 Apr 2013
- Notice 125 dated 2 Apr 2013 (41.8 KB) [Cancelled with effect from 22 Apr 2013]
Related to this Notice
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Subsidiary LegislationPublished Date: 19 December 2018
Insurance (Valuation and Capital) Regulations 2004
Sets out the requirements under the risk-based capital framework for all licensed insurers, including the way in which assets and liabilities are to be valued.
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Subsidiary LegislationPublished Date: 18 April 2013
Insurance (Actuaries) Regulations 2013
Sets out the roles and responsibilities of appointed and certifying actuaries, and MAS' expectations on the appointment process and notification of engagements in equivalent roles in other jurisdictions.
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GuidelinesPublished Date: 01 March 2013
Guidelines on Risk Management Practices – Market Risk
Guidelines for financial institutions on managing their market risk
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GuidelinesPublished Date: 01 March 2013
Guidelines on Risk Management Practices – Credit Risk
Guidelines for financial institutions on managing their credit risk.
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GuidelinesPublished Date: 01 March 2013
Guidelines on Risk Management Practices – Liquidity Risk
Guidelines for financial institutions on managing their liquidity risk.