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On the properties of high-order non-monetary measures for risks JOURNAL ARTICLE published May 2018 in The Geneva Risk and Insurance Review |
Special Issue in Celebration of the 50th Seminar of the European Group of Risk and Insurance Economists JOURNAL ARTICLE published 18 February 2024 in The Geneva Risk and Insurance Review |
Incentive and welfare effects of correlated returns JOURNAL ARTICLE published March 2022 in Journal of Risk and Insurance |
Trust in insurance: The importance of experiences JOURNAL ARTICLE published June 2021 in Journal of Risk and Insurance |
EFFECTS OF THE EUROPEAN MONETARY UNION ON INSURANCE BUSINESS IN THE EUROPEAN UNION JOURNAL ARTICLE published January 1999 in Risk Management and Insurance Review |
Poisson Random Measures in Collective Risk Theory BOOK CHAPTER published 2009 in Non-Life Insurance Mathematics |
Prevention and Precaution BOOK CHAPTER published 2013 in Handbook of Insurance |
On cross-risk vulnerability JOURNAL ARTICLE published October 2009 in Insurance: Mathematics and Economics |
The economics of self-protection JOURNAL ARTICLE published 25 February 2024 in The Geneva Risk and Insurance Review |
Optimal Prevention for Multiple Risks JOURNAL ARTICLE published September 2017 in Journal of Risk and Insurance |
JOURNAL ARTICLE published September 2009 in Journal of Risk and Insurance |
Risk Measures in Finance and Insurance BOOK CHAPTER published 8 June 2021 in Risk Measures and Insurance Solvency Benchmarks |
Self-Insurance, Self-Protection and Market Insurance within the Dual Theory of Choice JOURNAL ARTICLE published June 2001 in The Geneva Papers on Risk and Insurance Theory |
Educator Seminar on Insurance JOURNAL ARTICLE published March 1971 in The Journal of Risk and Insurance |
Optimal reinsurance with general risk measures JOURNAL ARTICLE published June 2009 in Insurance: Mathematics and Economics |
The one-year non-life insurance risk JOURNAL ARTICLE published October 2009 in Insurance: Mathematics and Economics |
On the equivalence between Value-at-Risk- and Expected Shortfall-based risk measures in non-concave optimization JOURNAL ARTICLE published July 2024 in Insurance: Mathematics and Economics Research funded by FWO (FWO SBO S006721N) |
Economists in the insurance industry JOURNAL ARTICLE published December 1979 in The GENEVA PAPERS on Risk and Insurance |
1990, Risk theory seminar JOURNAL ARTICLE published November 1989 in Insurance: Mathematics and Economics |
1992 Risk Theory Seminar JOURNAL ARTICLE published July 1991 in Insurance: Mathematics and Economics |