Texas Statutes
Subchapter C. Authorized Investments and Transactions for Capital Stock Life, Health, and Accident Insurers
Section 425.127. Risk Control Transactions: Internal Control Procedures

Sec. 425.127. RISK CONTROL TRANSACTIONS: INTERNAL CONTROL PROCEDURES. An insurance company that enters into a derivative transaction shall establish written internal control procedures that provide for:
(1) a quarterly report to the board of directors that reviews:
(A) each derivative transaction entered into, outstanding, or closed out;
(B) the results and effectiveness of the derivatives program; and
(C) the credit risk exposure to each counterparty for over-the-counter derivative transactions based on the counterparty exposure amount;
(2) a system for determining whether hedging or replication strategies used have been effective;
(3) a system of regular reports, at least monthly, to management that include:
(A) a description of each derivative transaction entered into, outstanding, or closed out during the period since the last report;
(B) the purpose of each outstanding derivative transaction;
(C) a performance review of the derivative instrument program; and
(D) the counterparty exposure amount for each over-the-counter derivative transaction;
(4) a written authorization that identifies the responsibilities and limitations of authority of each person authorized to effect and maintain derivative transactions; and
(5) appropriate documentation for each transaction, including:
(A) the purpose of the transaction;
(B) the assets or liabilities to which the transaction relates;
(C) the specific derivative instrument used in the transaction;
(D) for an over-the-counter derivative transaction, the name of the counterparty and the counterparty exposure amount; and
(E) for an exchange-traded derivative instrument, the name of the exchange and the name of the firm that handled the transaction.
Added by Acts 2005, 79th Leg., Ch. 727 (H.B. 2017), Sec. 1, eff. April 1, 2007.

Structure Texas Statutes

Texas Statutes

Insurance Code

Title 4 - Regulation of Solvency

Subtitle B - Reserves and Investments

Chapter 425 - Reserves and Investments for Life Insurance Companies and Related Entities

Subchapter C. Authorized Investments and Transactions for Capital Stock Life, Health, and Accident Insurers

Section 425.101. Definitions

Section 425.102. Inapplicability of Certain Law

Section 425.103. Applicability of Subchapter

Section 425.104. Purpose

Section 425.105. Written Investment Plan

Section 425.106. Investment Records; Demonstration of Compliance

Section 425.108. Authorized Investments and Transactions in General

Section 425.109. Authorized Investments: Government Obligations

Section 425.110. Authorized Investments: Obligations of and Other Investments in Business Entities

Section 425.111. Authorized Investments: Bonds Issued, Assumed, or Guaranteed in International Market

Section 425.112. Authorized Investments: Policy Loans

Section 425.113. Authorized Investments: Deposits in Certain Financial Institutions

Section 425.114. Authorized Investments: Insurance Company Investment Pools

Section 425.115. Authorized Investments: Equity Interests

Section 425.116. Authorized Investments: Preferred Stock

Section 425.117. Authorized Investments: Collateral Loans

Section 425.118. Authorized Investments: Obligations Secured by Real Property Loans

Section 425.1185. Authorized Investments: Mezzanine Real Estate Loans

Section 425.119. Authorized Investments: Real Property

Section 425.120. Authorized Investments: Oil, Gas, and Minerals

Section 425.121. Authorized Investments: Securities Lending, Repurchase, Reverse Repurchase, and Dollar Roll Transactions

Section 425.122. Authorized Investments: Premium Loans

Section 425.123. Authorized Investments: Money Market Funds

Section 425.124. Authorized Investments: Risk Control Transactions

Section 425.125. Risk Control Transactions: Definitions

Section 425.126. Risk Control Transactions: Derivative Use Plan

Section 425.127. Risk Control Transactions: Internal Control Procedures

Section 425.128. Risk Control Transactions: Oversight by Commissioner

Section 425.129. Risk Control Transactions: Limitations on Income Generation Transactions

Section 425.130. Risk Control Transactions: Limitations on Replication Transactions

Section 425.131. Risk Control Transactions: Trading Requirements

Section 425.132. Risk Control Transactions: Offsetting Transactions

Section 425.151. Authorized Investments: Foreign Countries and United States Territories

Section 425.152. Authorized Investments: Investments Not Otherwise Specified or Prohibited; Investments Authorized by Other Law

Section 425.153. Authorized Investments: Certain Previously Authorized Investments

Section 425.154. Applicability of Percentage Authorizations and Limitations

Section 425.155. Qualification of Investments

Section 425.156. Distributions, Reinsurance, and Merger

Section 425.157. Aggregate Diversification Requirements

Section 425.158. Waiver by Commissioner of Quantitative Limitations

Section 425.159. Accounting Provisions

Section 425.160. Investments of Ceding Insurers

Section 425.161. Acting as Real Estate Broker or Salesperson Prohibited

Section 425.162. Rules