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JEL Code: G22

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Viewing: 321 - 370 of 2,555 papers

321.

Imitation is the Sincerest Form of Flattery: Warren Buffett and Berkshire Hathaway

Number of pages: 51 Posted: 26 Sep 2005 Last Revised: 05 May 2008
Working Paper Series
American University - Kogod School of Business and University of Nevada, Las Vegas - Department of Finance
Downloads 15,149
322.

Asymmetric Information, Heterogeneity in Risk Perceptions and Insurance: An Explanation to a Puzzle

Number of pages: 27 Posted: 18 Nov 2008
Working Paper Series
University of Warwick - Finance Group
Downloads 15,127
323.

The Subprime Credit Crisis of 07

Number of pages: 56 Posted: 25 Mar 2008 Last Revised: 15 Jun 2016
Working Paper Series
University of Houston - C.T. Bauer College of Business, Natixis and Cornell University - Samuel Curtis Johnson Graduate School of Management
Downloads 8,976
324.

Applied Financial Marketing - Myth Versus Reality

Journal of Financial Transformation, Vol. 21, pp. 55-66, 2007
Number of pages: 12 Posted: 27 Nov 2007 Last Revised: 08 Jul 2009
Accepted Paper Series
Capco Institute, Capco and Capco
Downloads 6,520
325.

Secret Liens and the Financial Crisis of 2008

American Bankruptcy Law Journal, Vol. 83, p. 253, 2009
Number of pages: 44 Posted: 05 Jan 2009 Last Revised: 16 Oct 2009
Accepted Paper Series
USC Gould School of Law
Downloads 6,502
326.

Non-Life Insurance: Mathematics & Statistics

Number of pages: 295 Posted: 03 Sep 2013 Last Revised: 22 Dec 2017
Working Paper Series
RiskLab, ETH Zurich
Downloads 6,228
327.

Value at Risk Models in Finance

ECB Working Paper No. 75
Number of pages: 41 Posted: 25 Feb 2003
Working Paper Series
European Central Bank (ECB) and New York University - Leonard N. Stern School of Business - Department of Economics
Downloads 5,748
328.

Optimal Insurance Under Adverse Selection and Ambiguity Aversion

Number of pages: 25 Posted: 31 Dec 2010 Last Revised: 16 Mar 2014
Working Paper Series
University of Warwick - Finance Group and University of Warwick, Warwick Business School

Multiple version iconThere are 2 versions of this paper

Downloads 5,035
329.

Enterprise Risk Management: Theory and Practice

Number of pages: 33 Posted: 04 Aug 2006
Working Paper Series
Nationwide Insurance and Ohio State University (OSU) - Department of Finance

Multiple version iconThere are 2 versions of this paper

Downloads 5,029
330.

Audit Risk, Complex Technology, & Auditing Processes

Number of pages: 11 Posted: 01 May 2003
Working Paper Series
University of Windsor - Odette School of Business and North Carolina Agricultural and Technical State University - School of Business & Economics
Downloads 4,419
331.

Real World Index Annuity Returns

Number of pages: 16 Posted: 07 Oct 2009 Last Revised: 06 Jan 2011
Working Paper Series
University of Pennsylvania - The Wharton School - Finance and Insurance Departments, Webster University and affiliation not provided to SSRN
Downloads 3,917
332.

Capital Allocation in Financial Firms

Harvard Business School No. 98-072
Number of pages: 40 Posted: 25 Apr 2001
Working Paper Series
Harvard Business School - Finance Unit
Downloads 3,054
333.

The Indian Insurance Industry: Challenges and Prospects

Number of pages: 84 Posted: 15 Sep 2005
Working Paper Series
Instituto Tecnológico Autónomo de México (ITAM) - Division of Actuarial Science, Statistics and Mathematics
Downloads 3,003
334.

The Value of Enterprise Risk Management

Journal of Risk and Insurance, Forthcoming
Number of pages: 42 Posted: 30 Jul 2009 Last Revised: 20 Nov 2010
Accepted Paper Series
University of Georgia - C. Herman and Mary Virginia Terry College of Business and University of Mississippi - School of Business Administration

Multiple version iconThere are 2 versions of this paper

Downloads 2,980
335.

Term Structure Estimation

Number of pages: 45 Posted: 21 Feb 2008 Last Revised: 15 Jun 2016
Working Paper Series
University of Massachusetts Amherst - Isenberg School of Management and University of Murcia - Faculty of Business and Economics
Downloads 2,979
336.

Shadow Insurance

Econometrica, Vol. 84, No. 3, 2016, Swiss Finance Institute Research Paper No. 14-64
Number of pages: 50 Posted: 06 Sep 2013 Last Revised: 19 May 2016
Accepted Paper Series
New York University (NYU) - Department of Finance and Princeton University - Department of Economics

Multiple version iconThere are 2 versions of this paper

Downloads 2,845
337.

Understanding Modern Banking Ledgers Through Blockchain Technologies: Future of Transaction Processing and Smart Contracts on the Internet of Money

Number of pages: 33 Posted: 24 Nov 2015
Working Paper Series
Department of Actuarial Mathematics and Statistics, Heriot-Watt University and University College London - Financial Computing and Analytics Group, Department of Computer Science
Downloads 2,725
338.

Productivity and Efficiency in Insurance: An Overview of the Issues

96-57
Number of pages: 62 Posted: 06 May 1997
Working Paper Series
University of Alabama - Culverhouse College of Commerce & Business Administration and Temple University - Risk Management & Insurance & Actuarial Science
Downloads 2,604
339.

Terrorism and the Stock Market

Number of pages: 27 Posted: 12 Oct 2005
Working Paper Series
Cornell University - Johnson Graduate School of Management and Barclays Global Investors
Downloads 2,401
340.

Welfare-Improving Ambiguity in Insurance Markets with Asymmetric Information

Number of pages: 13 Posted: 31 Jul 2012 Last Revised: 16 Mar 2014
Working Paper Series
University of Warwick - Finance Group and University of Warwick, Warwick Business School
Downloads 2,358
341.

Asymmetric Information Effects on Loan Spreads

Journal of Financial Economics 92 (2009), pp. 300-319
Number of pages: 42 Posted: 18 Nov 2005 Last Revised: 31 Jul 2009
Working Paper Series
Harvard University
Downloads 2,357
342.

Risk Management: History, Definition and Critique

Number of pages: 34 Posted: 11 Mar 2013 Last Revised: 06 Sep 2013
Working Paper Series
HEC Montreal - Department of Finance

Multiple version iconThere are 2 versions of this paper

Downloads 2,091
343.

Institutional Investors and Corporate Governance in India

National Stock Exchange of India Research Initiative Paper No. 15
Number of pages: 37 Posted: 12 May 2003
Working Paper Series
XLRI Jamshedpur
Downloads 1,968
344.

The Beneficial Coexistence of Banks and Markets: The Role of Capital Requirements and Underwriting

Number of pages: 24 Posted: 11 Nov 2012
Working Paper Series
University of Warwick - Finance Group and University of Warwick - Finance Group
Downloads 1,924
345.

The Solvency II Process: Overview and Critical Analysis

Risk Management and Insurance Review, Vol. 10, No. 1, pp. 69-85
Number of pages: 24 Posted: 13 Jan 2006 Last Revised: 10 Jun 2013
Accepted Paper Series
University of St. Gallen - Institute of Insurance Economics, University of Muenster - Faculty of Economics and University of Wisconsin - Madison - Department of Actuarial Science, Risk Management and Insurance

Multiple version iconThere are 2 versions of this paper

Downloads 1,903
346.

Infrastructure as an Asset Class

EIB Papers, Vol. 15, No. 1, pp. 70-105, 2010
Number of pages: 36 Posted: 11 Jun 2011
Accepted Paper Series
Inderst Advisory
Downloads 1,879
347.

Marking to Market: Panacea or Pandora's Box?

Journal of Accounting Research, Vol. 46, No. 2, pp. 435-460, 2008
Number of pages: 32 Posted: 30 Jul 2008 Last Revised: 11 Nov 2010
Accepted Paper Series
University of Toulouse 1 - Toulouse School of Economics (TSE), University of Chicago - Booth School of Business and Bank for International Settlements
Downloads 1,872
348.

Market Consistent Embedded Values as 'Fair Value' Measurements for Life Insurance Accounting: A Step Too Far With Finance Theory?

Number of pages: 53 Posted: 11 Jan 2007
Working Paper Series
University of Exeter Business School, London School of Economics & Political Science (LSE) - Department of Accounting and Finance and Harvard University - Harvard Business School
Downloads 1,842
349.

Optimal Asset Allocation Towards the End of the Life Cycle: To Annuitize or Not to Annuitize?

FAS#21-96
Number of pages: 48 Posted: 06 Nov 1996
Working Paper Series
York University - Schulich School of Business
Downloads 1,828
350.

Bancassurance in India: Who is Tying the Knot and Why

Number of pages: 36 Posted: 06 May 2005
Working Paper Series
Instituto Tecnológico Autónomo de México (ITAM) - Division of Actuarial Science, Statistics and Mathematics
Downloads 1,785
351.

Corporate Governance, Corporate Ownership, and the Role of Institutional Investors: A Global Perspective

Journal of Applied Finance, Vol. 13, No. 2, Fall/Winter 2003
Number of pages: 19 Posted: 10 Jan 2005
Accepted Paper Series
University of Georgia - Department of Finance and University of Texas at Austin - Department of Finance

Multiple version iconThere are 2 versions of this paper

Downloads 1,779
352.

The Insurance Performance Measure: Bringing Value to the Insurance Industry

Journal of Applied Corporate Finance, Vol. 14, No. 4, pp. 94-99, 2002
Number of pages: 6 Posted: 10 Aug 2005
Accepted Paper Series
Fordham University - Gabelli Center for Global Security Analysis and Quinnipiac University
Downloads 1,771
353.

Data Analytics for Non-Life Insurance Pricing

Swiss Finance Institute Research Paper No. 16-68
Number of pages: 228 Posted: 17 Nov 2016 Last Revised: 28 Oct 2017
Working Paper Series
RiskLab, ETH Zurich and AXA-Winterthur
Downloads 1,664
354.

Why Stewardship is Proving Elusive for Institutional Investors

Butterworths Journal of International Banking and Financial Law, pp. 406-411, July/August 2010 , Northwestern Law & Econ Research Paper No. 10-28
Number of pages: 6 Posted: 09 Jul 2010 Last Revised: 02 Sep 2015
Accepted Paper Series

Multiple version iconThere are 2 versions of this paper

Downloads 1,583
355.

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 1,543
356.

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 1,521
357.

Financial Markets and Institutions in the Arab Economy

Number of pages: 10 Posted: 19 Oct 2007
Working Paper Series
Birzeit University
Downloads 1,510
358.

Operational Risk and Insurance: Quantitative and Qualitative Aspects

EFMA 2004 Basel Meetings Paper
Number of pages: 38 Posted: 14 May 2004
Working Paper Series
DZ Bank AG
Downloads 1,469
359.

Selection and Moral Hazard in the Reverse Mortgage Market

Number of pages: 44 Posted: 25 Oct 2004
Working Paper Series
University of British Columbia (UBC) - Sauder School of Business and Baruch College - Zicklin School Business - Real Estate Department
Downloads 1,463
360.

An Analysis of the Evolution of Insurance in India

Number of pages: 57 Posted: 26 Apr 2005
Working Paper Series
Instituto Tecnológico Autónomo de México (ITAM) - Division of Actuarial Science, Statistics and Mathematics
Downloads 1,389
361.

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 Kent, Canterbury - Kent Business School
Downloads 1,377
362.

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
University of Connecticut School of Law
Downloads 1,360
363.

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 New York

Multiple version iconThere are 3 versions of this paper

Downloads 1,355
364.

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 1,346
365.

Reaching for Yield in the Bond Market

Journal of Finance, Forthcoming, Harvard Business School Finance Working Paper No. 12-103
Number of pages: 54 Posted: 24 May 2012 Last Revised: 18 Mar 2014
Accepted Paper Series
Stockholm School of Economics and Harvard University

Multiple version iconThere are 3 versions of this paper

Downloads 1,345
366.

Managing Interest Rate Risk: The Next Challenge?

Number of pages: 29 Posted: 26 Apr 2009 Last Revised: 18 Aug 2012
Working Paper Series
University of Massachusetts Amherst - Isenberg School of Management and University of Murcia - Faculty of Business and Economics
Downloads 1,341
367.

Who Qualifies as an Audit Committee Financial Expert Under SEC Regulations and NYSE Rules?

11 DePaul Business & Commercial Law Journal (Winter 2013)
Number of pages: 33 Posted: 30 Aug 2012 Last Revised: 16 Aug 2013
Accepted Paper Series
Western Carolina University
Downloads 1,340
368.

Market Risk and Model Risk for a Financial Institution Writing Options

Number of pages: 42 Posted: 14 May 1999
Working Paper Series
Emory University - Goizueta Business School and New York University - Stern School of Business

Multiple version iconThere are 2 versions of this paper

Downloads 1,339
369.

The Integration of the Financial Services Industry: Where are the Efficiencies?

FEDS Paper No. 2000-36
Number of pages: 39 Posted: 04 Oct 2000
Working Paper Series
University of South Carolina - Darla Moore School of Business
Downloads 1,320
370.

A Simple Approach to Pricing American Options Under the Heston Stochastic Volatility Model

Number of pages: 37 Posted: 19 Mar 2008 Last Revised: 15 Jun 2016
Working Paper Series
Suffolk University - Department of Finance and University of Massachusetts Amherst - Isenberg School of Management
Downloads 1,316