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Journal of Risk and Insurance December 2025

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<title>Journal of Risk and Insurance December 2025</title>
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<abstract displayLabel="Summary">Gambling for market recovery? European insurers' corporate bond investments during market stress / Marcel Beyer -- Market discipline in life insurance: Does public risk disclosure encourage less risky management actions? / Moritz Hanika -- Systemic risk of systemically important financial institutions in the post-2008 global financial crisis era: A tail risk network analysis / Tao Sun -- Virtuous innovation or obfuscation? Product innovation in the variable annuities market / Xiaochen Jing, Daniel Bauer, J. Tyler Leverty -- Optimal hedging of longevity risks for group self-annuity portfolios / Yang Shen, Michael Sherris, Yawei Wang, Jonathan Ziveyi -- On the market valuation of insurance accounting: An assessment of historical cost and fair value measurements / Stefan Veith, Christian Fieberg -- Heterogeneity in health insurance choice: An experimental investigation of consumer choice and feature preferences / Benedicta Hermanns, Nadja Kairies-Schwarz, Johanna Kokot, Markus Vomhof -- Optimal insurance design under limited liability / Andrea Bergesio, Pablo Koch-Medina, Cosimo Munari</abstract>
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<topic>Seguros</topic>
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<topic>Riesgos</topic>
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<topic>Productos de seguros</topic>
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<topic>Longevidad</topic>
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<title>The Journal of risk and insurance</title>
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<identifier type="issn">0022-4367</identifier>
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<text>21/10/2025 Volume 92 Number 4 - December 2025 </text>
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