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Articles from Journal of Risk and Insurance (December 1, 2007)

1-12 out of 12 article(s)
Title Author Type Words
2007 editor report. Dionne, Georges C Editorial 2367
First-best equilibrium in insurance markets with transaction costs and heterogeneity. Liu, Jerry W.; Browne, Mark J. 8809
Heavy-tailed behavior of commodity price distribution and optimal hedging demand. Jin, Hyun J. 8808
Is bancassurance a viable model for financial firms? Fields, L. Paige; Fraser, Donald R.; Kolari, James W. 8586
Measuring Risk Aversion. Eisenhauer, Joseph G. Book review 3290
Modeling operational risk with Bayesian networks. Cowell, R.G.; Verrall, R.J.; Yoon, Y.K. 13494
On the corporate demand for insurance: the case of Korean nonfinancial firms. Regan, Laureen; Hur, Yeon 10591
On the revelation of private information in the U.S. crop insurance program. Ker, Alan; Ergun, A. Tolga 6415
Optimal tax deductions for net losses under private insurance with an upper limit. Huang, Rachel J.; Tzeng, Larry Y. 3742
Social Security Programs and Retirement Around the World: Micro-Estimation. Query, J. Tim Book review 1050
The Calculus of Retirement Income: Financial Models for Pension Annuities and Life Insurance. Babbel, David F. Book review 1569
The organizational structure of insurance companies: the role of heterogeneous risks and guaranty funds. Ligon, James A.; Thistle, Paul D. 5490

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