An Extension of Mack's Model for the Chain Ladder Method

Author:

Schmidt Klaus D.,Schnaus Anja

Abstract

AbstractThe chain ladder method is a simple and suggestive tool in claims reserving, and various attempts have been made aiming at its justification in a stochastic model. Remarkable progress has been achieved by Schnieper and Mack who considered models involving assumptions on conditional distributions. The present paper extends the model of Mack and proposes a basic model in a decision theoretic setting. The model allows to characterize optimality of the chain ladder factors as predictors of non-observable development factors and hence optimality of the chain ladder predictors of aggregate claims at the end of the first non-observable calendar year. We also present a model in which the chain ladder predictor of ultimate aggregate claims turns out to be unbiased.

Publisher

Cambridge University Press (CUP)

Subject

Economics and Econometrics,Finance,Accounting

Reference4 articles.

1. Distribution-free Calculation of the Standard Error of Chain Ladder Reserve Estimates

2. Which stochastic model is underlying the chain ladder method?

3. Measuring the variability of chain ladder reserve estimates;Mack;Casualty Actuarial Society Forum Spring 1994,1994

4. Separating True IBNR and IBNER Claims

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