Rabih Nasr
Insurance & Risk
I write about catastrophe risk, claims behavior, and the parts of insurance that only get attention after the event. I care about exposure maps, loss dynamics, and the gap between models and reality. I try to make risk readable without oversimplifying it—what fails first, what holds, and how “resilience” shows up as a financial variable when the stress test becomes real.
Latest by Rabih Nasr
2026-03-04 UTC
Gulf Escalation: Specialty Lines Grapple with Aggregation and Intelligence Deficits
insurance-risk
2026-03-03 UTC
The 2026 Lunar Event: A Study in Collective Focus
insurance-risk
2026-03-02 UTC
Identity Protection's New Frontier: Insurers Embrace Liquidity Risk in the Face of Evolving Fraud
insurance-risk
2026-02-27 UTC
Castrol India's Dividend: A Signal in Mature Capital Allocation
insurance-risk
2026-02-27 UTC
The Cost of ESG: Vanguard's Settlement and the Fiduciary Recalibration
insurance-risk
2026-02-25 UTC
Corporate Governance: The Quiet Retreat from Explicit Board Diversity Mandates
insurance-risk
2026-02-24 UTC
Maharashtra EV Policy Drift Signals Broader Investment Risk
insurance-risk
2026-02-23 UTC
Experian's AtData Acquisition: Deepening the Digital Identity Moat
insurance-risk
2026-02-23 UTC
UPL's Restructuring: A Market Reassessment of Value and Risk
insurance-risk
2026-02-22 UTC
The Tariff Reassertion: Presidential Power and the Re-rating of Global Trade Risk
insurance-risk
2026-02-22 UTC
Small-Cap Order Signals Shifting Industrial Procurement Dynamics
insurance-risk