HULL, J. C. Risk Management and Financial Institutions. Willey, 2012.
CIPRA, T. Pojistná matematika – teorie a praxe. Praha: Ekopress, 2006.
DOFF, R. Risk Management for Insurers: Risk Control, Economic Capital and Solvency II. Risk Books, 2007.
SANDSTROM, A. Handbook of Solvency for Actuaries and Risk Managers: Theory and Practice. CRC Press, 2010.