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Realistic Value of AssetsHome >Integrated-Prudential-Sourcebook > Twin-Peaks-Approach > Realistic-Peak > Realistic-Value-of-Assets > Background The realistic value of assets is a component required to calculate the WPICC and should be calculated for each with-profits fund. (1) the with-profits benefits reserve of the fund; (2) the future policy related liabilities of the fund; and (3) the realistic current liabilities of the fund. Please use the sub sections links on the left or the content links to find out more about Realistic Value of Assets. |
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