Article 233
Coverage of all material risks
The qualitative indicators referred to in paragraph 1 shall include the following:
the identification in the own risk and solvency assessment of risks other than those that are covered by the internal model;
the existence of a dedicated risk management process for risks other than those that are covered by the internal model;
the existence of dedicated risk mitigation techniques for risks other than those that are covered by the internal model.
The quantitative indicators referred to in paragraph 1 of this Article shall include the following:
the capital allocation in accordance with Article 120 of Directive 2009/138/EC;
the amount of profits and losses which cannot be explained by the risks covered by the internal model;
the results of stress testing and scenario analysis and any tool used in the model validation process.