The Journal of risk and insurance-Volumen 92 Número 4 - noviembre 2025
Publication: The Journal of risk and insurance
Number: Volumen 92 Número 4 - noviembre 2025
Type: Normal
Rights: InC
| Title | Author | Pages |
|---|---|---|
| Gambling for market recovery? European insurers' corporate bond investments during market stress | Beyer, Marcel | p. 857 - 908 |
| Market discipline in life insurance : does public risk disclosure encourage less risky management actions? | Hanika, Moritz | p. 909 - 949 |
| Systemic risk of systemically important financial institutions in the post-2008 global financial crisis era : a tail risk network analysis | Sun, Tao | p. 950 - 977 |
| Virtuous innovation or obfuscation? product innovation in the variable annuities market | Jing, Xiaochen | p. 978 - 1012 |
| Optimal hedging of longevity risks for group self-annuity portfolios | p. 1013 - 1058 | |
| On the market valuation of insurance accounting : an assessment of historical cost and fair value measurements | Veith, Stefan | p. 1059 - 1095 |
| Heterogeneity in health insurance choice : an experimental investigation of consumer choice and feature preferences | p. 1096 - 1121 | |
| Optimal insurance design under limited liability | Bergesio, Andrea | p. 1122 - 1142 |