51.
CAT Bonds and Other Risk-Linked Securities: State of the Market and Recent Developments
Number of pages: 45
Posted: 07 Dec 2007
Working Paper Series
Temple University - Risk Management & Insurance & Actuarial Science
Downloads
1,691
52.
Attitudes of Nigerians Towards Insurance Services: An Empirical Study
African Journal of Accounting, Economics, Finance and Banking Research, Vol. 4, No. 4, July 2009
Number of pages: 13
Posted: 14 Jan 2010
Accepted Paper Series
University of Lagos, University of East London and University of Lagos
Downloads
1,637
53.
Reaching for Yield in the Bond Market
Harvard Business School Finance Working Paper No. 12-103, Journal of Finance, Volume 70 (5), 1863-1902, 2015
Number of pages: 54
Posted: 24 May 2012
Last Revised: 15 Feb 2018
Accepted Paper Series
Stockholm School of Economics and Harvard University
There are 3 versions of this paper
Reaching for Yield in the Bond Market
Harvard Business School Finance Working Paper No. 12-103, Journal of Finance, Volume 70 (5), 1863-1902, 2015
Number of pages: 54
Posted: 24 May 2012
Last Revised: 15 Feb 2018
Downloads
1,616
Reaching for Yield in the Bond Market
NBER Working Paper No. w18909
Number of pages: 56
Posted: 22 Mar 2013
Last Revised: 03 Mar 2021
Downloads
20
Downloads
1,616
54.
Comparison of Historical and Parametric Value-at-Risk Methodologies
Number of pages: 5
Posted: 18 Nov 2009
Working Paper Series
BNP Paribas, Risk - Investment & Markets
Downloads
1,608
55.
Claims Run-Off Uncertainty: The Full Picture
Swiss Finance Institute Research Paper No. 14-69
Number of pages: 45
Posted: 15 Nov 2014
Last Revised: 03 Jul 2015
Working Paper Series
University of Hamburg and RiskLab, ETH Zurich
Downloads
1,594
56.
Cross Selling and Banking Efficiency
Number of pages: 19
Posted: 07 Nov 2001
Working Paper Series
New York University (NYU) - Leonard N. Stern School of Business - Department of Economics and Federal Reserve Bank of New York
Downloads
1,583
57.
Operational Risk and Insurance: Quantitative and Qualitative Aspects
Number of pages: 38
Posted: 14 May 2004
Working Paper Series
DZ Bank AG
Downloads
1,551
58.
Fear is the Key: A Behavioral Guide to Underwriting Cycles
Connecticut Insurance Law Journal, Vol. 10, No. 2, pp. 255-275, 2004
Number of pages: 21
Posted: 17 Apr 2005
Accepted Paper Series
Trinity College
Downloads
1,515
59.
The Cost of Financial Frictions for Life Insurers
American Economic Review, Vol. 105, No. 1, 2015, Chicago Booth Research Paper No. 12-30, Fama-Miller Working Paper
Number of pages: 42
Posted: 31 Mar 2012
Last Revised: 13 Nov 2014
Accepted Paper Series
University of Chicago - Booth School of Business and Princeton University - Department of Economics
There are 2 versions of this paper
The Cost of Financial Frictions for Life Insurers
American Economic Review, Vol. 105, No. 1, 2015, Chicago Booth Research Paper No. 12-30, Fama-Miller Working Paper
Number of pages: 42
Posted: 31 Mar 2012
Last Revised: 13 Nov 2014
Downloads
1,464
The Cost of Financial Frictions for Life Insurers
NBER Working Paper No. w18321
Number of pages: 43
Posted: 18 Aug 2012
Downloads
24
Downloads
1,464
60.
Consolidation in the European Insurance Industry: Do Mergers and Acquisitions Create Value for Shareholders?
Number of pages: 52
Posted: 01 Jul 2004
Working Paper Series
Temple University - Risk Management & Insurance & Actuarial Science and Temple University
Downloads
1,459
61.
Managing Interest Rate Risk: The Next Challenge?
Number of pages: 29
Posted: 26 Apr 2009
Last Revised: 06 Nov 2020
Working Paper Series
University of Massachusetts Amherst - Isenberg School of Management and University of Murcia - Faculty of Business and Economics
Downloads
1,444
62.
Barriers to Household Risk Management: Evidence from India
American Economic Journal: Applied Economics, 5(1), 104-35, Harvard Business School Finance Working Paper No. 09-116, FRB of New York Staff Report No. 373
Number of pages: 55
Posted: 09 Apr 2009
Last Revised: 22 Jan 2013
Accepted Paper Series
Harvard Business School, World Bank - Development Research Group (DECRG), Alfred Lerner College of Business and Economics, University of Delaware, Massachusetts Institute of Technology (MIT), International Monetary Fund (IMF) and Federal Reserve Bank of Philadelphia
There are 3 versions of this paper
Barriers to Household Risk Management: Evidence from India
American Economic Journal: Applied Economics, 5(1), 104-35, Harvard Business School Finance Working Paper No. 09-116, FRB of New York Staff Report No. 373
Number of pages: 55
Posted: 09 Apr 2009
Last Revised: 22 Jan 2013
Downloads
1,437
Barriers to Household Risk Management: Evidence from India
World Bank Policy Research Working Paper No. 5504
Number of pages: 40
Posted: 20 Apr 2016
Downloads
107
Barriers to Household Risk Management: Evidence from India
IMF Working Paper No. 12/195
Number of pages: 44
Posted: 01 Nov 2012
Downloads
41
Downloads
1,437
63.
Neural Networks Applied to Chain-Ladder Reserving
Number of pages: 26
Posted: 10 May 2017
Last Revised: 19 Jul 2018
Working Paper Series
RiskLab, ETH Zurich
Downloads
1,425
64.
Emerging Markets: Stock Market Investing with Political Risk
EFMA 2001 Lugano Meetings, Middlesex University Business School Discussion Paper No. 6, Cass Business School Research Paper
Number of pages: 21
Posted: 14 May 2001
Working Paper Series
Middlesex University Business School and University of Sussex
Downloads
1,421
65.
The Costs and Benefits of Reinsurance
Number of pages: 33
Posted: 11 Jun 2008
Last Revised: 11 Feb 2021
Working Paper Series
Temple University - Risk Management & Insurance & Actuarial Science, HEC Montreal - Department of Finance, HEC Montreal - Institute of Applied Economics and HEC Montreal - Department of Finance
Downloads
1,401
66.
The Integration of the Financial Services Industry: Where are the Efficiencies?
Number of pages: 39
Posted: 04 Oct 2000
Working Paper Series
University of South Carolina - Darla Moore School of Business
Downloads
1,393
67.
Optimal Initiation of a GLWB in a Variable Annuity: No Arbitrage Approach
Number of pages: 23
Posted: 26 Feb 2013
Working Paper Series
York University - Schulich School of Business, York University - Department of Mathematics and Statistics and York University
Downloads
1,391
68.
Market Risk and Model Risk for a Financial Institution Writing Options
Number of pages: 42
Posted: 14 May 1999
Working Paper Series
Emory University - Department of Finance and New York University - Stern School of Business
There are 2 versions of this paper
Market Risk and Model Risk for a Financial Institution Writing Options
Number of pages: 42
Posted: 14 May 1999
Downloads
1,373
Market Risk and Model Risk for a Financial Institution Writing Options
Journal of Finance, August 1999
Posted: 07 May 1999
Downloads
1,373
69.
Fintech and Banking
Number of pages: 40
Posted: 27 Feb 2019
Last Revised: 03 Mar 2019
Working Paper Series
Washington University, Saint Louis - John M. Olin School of Business
Downloads
1,365
70.
Financial Repression in the European Sovereign Debt Crisis
Swedish House of Finance Research Paper No. 14-13, Paris December 2014 Finance Meeting EUROFIDAI - AFFI Paper, Review of Finance, Forthcoming
Number of pages: 41
Posted: 27 Apr 2014
Last Revised: 15 Feb 2018
Accepted Paper Series
Stockholm School of Economics and Harvard University
There are 2 versions of this paper
Financial Repression in the European Sovereign Debt Crisis
Swedish House of Finance Research Paper No. 14-13, Paris December 2014 Finance Meeting EUROFIDAI - AFFI Paper, Review of Finance, Forthcoming
Number of pages: 41
Posted: 27 Apr 2014
Last Revised: 15 Feb 2018
Downloads
1,356
Financial Repression in the European Sovereign Debt Crisis
CEPR Discussion Paper No. DP12185
Number of pages: 52
Posted: 04 Aug 2017
Downloads
2
Downloads
1,356
71.
Enterprise Risk Management Program Quality: Determinants, Value Relevance, and the Financial Crisis
Contemporary Accounting Research, Forthcoming
Number of pages: 48
Posted: 30 Sep 2010
Last Revised: 01 Aug 2012
Accepted Paper Series
Boise State University, College of Business and Economics, Department of Accountancy, Bentley University - Department of Accountancy, Bentley University - Department of Accountancy and Bentley University - Department of Accountancy
Downloads
1,353
72.
The Relationship of Insurance and Economic Growth - A Theoretical and Empirical Analysis
Emprica, Journal of Applied Economics and Economic Policy, Vol. 35, No. 4, pp. 405-431, 2008
Number of pages: 56
Posted: 05 Mar 2007
Last Revised: 19 Jan 2011
Accepted Paper Series
WU Vienna University of Economics and Business and affiliation not provided to SSRN
Downloads
1,342
73.
The Market Value Impact of Operational Risk Events for U.S. Banks and Insurers
Number of pages: 52
Posted: 04 Jan 2005
Working Paper Series
Temple University - Risk Management & Insurance & Actuarial Science, The Hartford and University of Pennsylvania - Insurance & Risk Management Department
Downloads
1,337
74.
Taxation, Pension Schemes and Stakeholder Wealth
Advances in Taxation, Forthcoming
Number of pages: 46
Posted: 21 Sep 2017
Last Revised: 14 Nov 2019
Accepted Paper Series
University of Bath - School of Management and University of Reading - ICMA Centre
Downloads
1,333
75.
Annuity Puzzles
Journal of Economic Perspectives, Fall 2011
Number of pages: 36
Posted: 14 Oct 2011
Working Paper Series
University of California at Los Angeles, Indiana University - Kelley School of Business - Department of Finance and University of Chicago - Booth School of Business
Downloads
1,319
76.
Performance Measurement and Insurance Liabilities
Number of pages: 31
Posted: 24 May 2000
Working Paper Series
University of Groningen - Faculty of Economics and Business and University of Groningen
Downloads
1,313
77.
How the Merits Matter: D&O Insurance and Securities Settlements
University of Pennsylvania Law Review, Vol. 157, pp. 755, 2009, 3rd Annual Conference on Empirical Legal Studies Papers, U of Penn, Inst for Law & Econ Research Paper No. 08-22, Fordham Law Legal Studies Research Paper No. 1101068
Number of pages: 78
Posted: 17 May 2008
Last Revised: 03 Jun 2009
Accepted Paper Series
University of Pennsylvania Law School and Fordham University School of Law
Downloads
1,310
78.
Accounting and Litigation Risk: Evidence from Directors' & Officers' Insurance Pricing
Review of Accounting Studies, Forthcoming
Number of pages: 58
Posted: 21 Nov 2005
Last Revised: 18 Oct 2013
Accepted Paper Series
University of Washington Tacoma and Tulane University - Accounting & Taxation
Downloads
1,300
79.
Insights from Inside Neural Networks
Number of pages: 64
Posted: 19 Aug 2018
Last Revised: 24 Apr 2020
Working Paper Series
Dep. Management, Technology, and Economics ETH Zurich, PartnerRe Ltd - PartnerRe Holdings Europe Limited and RiskLab, ETH Zurich
Downloads
1,297
80.
Nonparametric Estimation of Copulas for Time Series
FAME Research Paper No. 57
Number of pages: 37
Posted: 12 Mar 2003
Working Paper Series
University of Geneva GSEM and GFRI and Ensae-Crest
Downloads
1,291
81.
The Nature of Risk Preferences: Evidence from Insurance Choices
American Economic Review, Vol. 103, No. 6, pp. 2499-2529, 2013
Number of pages: 83
Posted: 24 Jul 2010
Last Revised: 07 Dec 2013
Accepted Paper Series
Cornell University, Cornell University - Department of Economics, Cornell University - Department of Economics and Georgetown University Law Center
There are 2 versions of this paper
The Nature of Risk Preferences: Evidence from Insurance Choices
American Economic Review, Vol. 103, No. 6, pp. 2499-2529, 2013
Number of pages: 83
Posted: 24 Jul 2010
Last Revised: 07 Dec 2013
Downloads
1,281
The Nature of Risk Preferences: Evidence from Insurance Choices
CESifo Working Paper Series No. 3933
Number of pages: 42
Posted: 21 Sep 2012
Downloads
175
Downloads
1,281
82.
The Fragility of Market Risk Insurance
Becker Friedman Institute for Research in Economics Working Paper No. 2018-9
Number of pages: 58
Posted: 24 May 2017
Last Revised: 16 Jan 2021
Working Paper Series
University of Chicago - Booth School of Business and Princeton University - Department of Economics
There are 3 versions of this paper
The Fragility of Market Risk Insurance
Becker Friedman Institute for Research in Economics Working Paper No. 2018-9
Number of pages: 58
Posted: 24 May 2017
Last Revised: 16 Jan 2021
Downloads
1,276
The Fragility of Market Risk Insurance
NBER Working Paper No. w24182
Number of pages: 59
Posted: 09 Jan 2018
Last Revised: 28 Jan 2021
Downloads
31
The Fragility of Market Risk Insurance
CEPR Discussion Paper No. DP12560
Number of pages: 47
Posted: 08 Jan 2018
Downloads
1,276
83.
The Personal Wealth Interests of Politicians and Government Intervention in the Economy
Review of Finance, Forthcoming
Number of pages: 48
Posted: 14 Mar 2010
Last Revised: 06 May 2018
Accepted Paper Series
London Business School and Frankfurt School of Finance and Management
Downloads
1,261
84.
Institutional Stock Trading on Loan Market Information
AFA 2008 New Orleans Meetings Paper, EFA 2007 Ljubljana Meetings, Journal of Financial Economics (JFE), 100 (2), 284-303, 2011
Number of pages: 55
Posted: 18 Dec 2007
Last Revised: 15 Feb 2018
Accepted Paper Series
Harvard University and University of California, Irvine - Paul Merage School of Business
Downloads
1,236
85.
Enterprise Risk Management: A View from the Insurance Industry
LAW AND ECONOMICS OF RISK IN FINANCE, Peter Nobel and Marina Gets, eds., pp. 111-120, Schulthess, Zürich, 2007, U. of St. Gallen Law & Economics Working Paper No. 2008-19
Number of pages: 11
Posted: 02 Jun 2008
Last Revised: 07 Aug 2008
Accepted Paper Series
University of St. Gallen - Swiss Institute of Banking and Finance and affiliation not provided to SSRN
Downloads
1,232
86.
Stress Testing for Cyber Risks: Cyber Risk Insurance Modeling beyond Value-at-Risk (VaR): Risk, Uncertainty, and, Profit for the Cyber Era
National Association of Insurance Commissioners (NAIC) Expert Paper: Advancing Cyber Risk Insurance Underwriting Model Risk Management beyond VaR to Pre-Empt and Prevent the Forthcoming Global Cyber Insurance Crisis (June 24, 2017)
Number of pages: 189
Posted: 23 Jan 2015
Last Revised: 12 Dec 2017
Accepted Paper Series
Global Risk Management Network, LLC
Downloads
1,222
87.
Asymmetric Information and Learning: Evidence from the Automobile Insurance Market
Number of pages: 30
Posted: 02 Apr 2003
Accepted Paper Series
Harvard Law School
Downloads
1,209
88.
Financial Statements Insurance
NYU Stern School of Business
Number of pages: 44
Posted: 17 Aug 2004
Working Paper Series
New York University (NYU) - Department of Accounting, New York University (NYU) - Department of Accounting and Rutgers, The State University of New Jersey - Accounting
There are 3 versions of this paper
Downloads
1,202
Financial Statements Insurance
NYU Working Paper No. 2451/27449
Number of pages: 40
Posted: 08 Oct 2008
Last Revised: 02 Dec 2008
Downloads
329
Financial Statements Insurance
Abacus, Vol. 49, Issue 3, pp. 269-307, 2013
Number of pages: 39
Posted: 30 Sep 2013
Downloads
2
Downloads
1,202
89.
Institutional Investors in Germany: Insurance Companies and Investment Funds
Number of pages: 41
Posted: 27 Jul 2003
Working Paper Series
Goethe University Frankfurt - Finance Department
Downloads
1,200
90.
The Impact of the Malaysian Code on Corporate Governance: Compliance, Institutional Investors and Stock Performance
Journal of Contemporary Accounting & Economics, Vol. 3, No. 2, 2007
Number of pages: 36
Posted: 05 Dec 2007
Last Revised: 26 Oct 2011
Accepted Paper Series
Curtin University - School of Accounting, Queensland University of Technology and Queensland University of Technology - QUT Business School
Downloads
1,187
91.
Choosing Gatekeepers: The Financial Statement Insurance Alternative to Auditor Liability
Number of pages: 73
Posted: 03 Jun 2004
Accepted Paper Series
George Washington University
Downloads
1,180
92.
Risk Instruments in the Medieval and Early Modern Economy
Dartmouth College, Department of Economics Working Paper No. 99-07
Number of pages: 20
Posted: 09 Mar 1999
Working Paper Series
Dartmouth College - Department of Economics
Downloads
1,176
93.
The Interest Rate Sensitivity of Real Estate
Journal of Property Research, Vol. 27, No. 1, pp. 61-85, 2010, Swiss Finance Institute Research Paper No. 10-13
Number of pages: 45
Posted: 23 Mar 2010
Last Revised: 07 Dec 2018
Accepted Paper Series
Universitiy of Geneva and University of Geneva - Geneva School of Economics and Management (GSEM)
Downloads
1,174
94.
The UK Financial Sector and EU Integration after Brexit: The Issue of Passporting
Chapter 5 in 'The Economics of UK-EU Relations: From the Treaty of Rome to the Brexit Vote', edited by N. Campos and F. Coricelli, Palgrave McMillan, London, 2017, p. 119-138.
Number of pages: 14
Posted: 04 Oct 2016
Last Revised: 11 Dec 2017
Accepted Paper Series
Rotterdam School of Management, Erasmus University
Downloads
1,154
95.
Insurance Contracts and Securitization
Number of pages: 30
Posted: 25 Sep 2001
Working Paper Series
University of Pennsylvania - Insurance & Risk Management Department and University of Alabama
There are 2 versions of this paper
Downloads
1,151
96.
Held Up in Due Course: Predatory Lending, Securitization, and the Holder in Due Course Doctrine
Creighton Law Review, Vol. 35, p. 503, 2002
Number of pages: 113
Posted: 26 May 2006
Accepted Paper Series
Chapman University, The Dale E. Fowler School of Law
Downloads
1,144
97.
D & O Insurance: A Primer
American University Business Law Review, Vol. 1, 2012
Number of pages: 48
Posted: 06 Feb 2012
Accepted Paper Series
Prairie View A&M University - College of Business and U.S.I.
There are 2 versions of this paper
D & O Insurance: A Primer
American University Business Law Review, Vol. 1, 2012
Number of pages: 48
Posted: 06 Feb 2012
Downloads
1,136
D & O Insurance: A Primer
American University Business Law Review, Vol. 1, No. 2, 337
Number of pages: 31
Posted: 23 Apr 2018
Last Revised: 12 Jul 2018
Downloads
44
Downloads
1,136
98.
Comparing Strategies for Retirement Wealth Management: Mutual Funds and Annuities
Journal of Financial Planning,Vol. 22, No. 8, pp. 36-47, August 2009
Number of pages: 19
Posted: 27 Oct 2008
Last Revised: 29 Sep 2009
Accepted Paper Series
Northern Trust Asset Management and Towers Watson
Downloads
1,132
99.
The Foundations of Banks' Risk Regulation: A Review of the Literature
HEC Montreal Working Paper No. 03-08
Number of pages: 42
Posted: 30 Dec 2003
Working Paper Series
HEC Montreal - Department of Finance
There are 2 versions of this paper
The Foundations of Banks' Risk Regulation: A Review of the Literature
HEC Montreal Working Paper No. 03-08
Number of pages: 42
Posted: 30 Dec 2003
Downloads
1,122
The Foundations of Banks' Risk Regulation: A Review of the Literature
CIRPEE Working Paper No. 03-46
Number of pages: 43
Posted: 15 Jan 2004
Downloads
648
Downloads
1,122
100.
The LIBOR/SABR Market Models: A Critical Review
Number of pages: 42
Posted: 26 Dec 2009
Working Paper Series
University of Massachusetts Amherst - Isenberg School of Management
Downloads
1,117
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