Georges Dionne : Citation Profile


Are you Georges Dionne?

HEC Montréal (École des Hautes Études Commerciales)

26

H index

58

i10 index

2380

Citations

RESEARCH PRODUCTION:

136

Articles

360

Papers

EDITOR:

1

Books edited

1

Series edited

RESEARCH ACTIVITY:

   44 years (1979 - 2023). See details.
   Cites by year: 54
   Journals where Georges Dionne has often published
   Relations with other researchers
   Recent citing documents: 128.    Total self citations: 166 (6.52 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pdi189
   Updated: 2023-11-04    RAS profile: 2023-11-02    
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Relations with other researchers


Works with:

Koumou, Nettey Boevi Gilles (3)

Authors registered in RePEc who have co-authored more than one work in the last five years with Georges Dionne.

Is cited by:

Picard, Pierre (65)

Gollier, Christian (41)

TREICH, Nicolas (29)

Guillen, Montserrat (29)

Cohen, Alma (25)

Hammitt, James (25)

Loubergé, Henri (24)

EECKHOUDT, LOUIS (23)

Salanié, Bernard (22)

Boyer, M. Martin (22)

Menegatti, Mario (21)

Cites to:

EECKHOUDT, LOUIS (81)

Picard, Pierre (72)

Cummins, John (64)

Pinquet, Jean (58)

Chiappori, Pierre (51)

gourieroux, christian (48)

Salanié, Bernard (41)

Stulz, René (40)

Viscusi, W (38)

Stiglitz, Joseph (36)

Giot, Pierre (34)

Main data


Where Georges Dionne has published?


Journals with more than one article published# docs
L'Actualit Economique19
Journal of Risk and Uncertainty9
Economics Letters8
Journal of Banking & Finance7
Journal of Risk & Insurance7
Canadian Journal of Economics6
Journal of Empirical Finance6
The Geneva Risk and Insurance Review5
ASTIN Bulletin4
Risks4
The Review of Economics and Statistics4
The European Journal of Finance3
Journal of Health Economics3
Journal of Econometrics2
Risk Management and Insurance Review2
Journal of Mathematical Economics2
Canadian Journal of Economics/Revue canadienne d'conomique2
Review of Economic Studies2
Journal of Political Economy2
International Economic Review2
Insurance: Mathematics and Economics2
Energy Economics2
The Geneva Papers on Risk and Insurance - Issues and Practice2

Working Papers Series with more than one paper published# docs
THEMA Working Papers / THEMA (THorie Economique, Modlisation et Applications), Universit de Cergy-Pontoise38
Post-Print / HAL4
Working Papers / HAL4
MPRA Paper / University Library of Munich, Germany3
Working Papers / Center for Research in Economics and Statistics2

Recent works citing Georges Dionne (2023 and 2022)


YearTitle of citing document
2022Reinsurance – an efficient solution of catastrophe risk transfer for the housing stock of Romania. (2022). Radu, Nicoleta. In: Theoretical and Applied Economics. RePEc:agr:journl:v:2(631):y:2022:i:2(631):p:139-150.

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2023Linkages Between Rural Community Capitals and Healthcare Provision: A Survey of Small Rural Towns in Three U.S. Regions. (2023). Huck, Shirley ; Larson, Janice ; Yu, Cindy ; Kuhns, Maria ; Pender, John. In: USDA Miscellaneous. RePEc:ags:usdami:333533.

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2023Bivariate Poisson credibility model and bonus-malus scale for claim and near-claim events. (2023). Denuit, Michel ; Trufin, Julien ; Simon, Pierre-Alexandre. In: LIDAM Discussion Papers ISBA. RePEc:aiz:louvad:2023014.

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2022Risk Loadings in Classification Ratemaking. (2020). Meng, Shengwang ; Li, Zhengxiao ; Yang, Liang. In: Papers. RePEc:arx:papers:2002.01798.

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2022Collaborative Insurance Sustainability and Network Structure. (2021). Vermet, Franck ; Ratz, Philipp ; Lowe, Matthias ; Kouakou, Lariosse ; Charpentier, Arthur. In: Papers. RePEc:arx:papers:2107.02764.

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2022Cyber Risk Frequency, Severity and Insurance Viability. (2021). Shevchenko, Pavel V ; Peters, Gareth W ; Malavasi, Matteo ; Sofronov, Georgy ; Jang, Jiwook ; Truck, Stefan. In: Papers. RePEc:arx:papers:2111.03366.

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2023Cyber Loss Model Risk Translates to Premium Mispricing and Risk Sensitivity. (2022). Peters, Gareth W ; Jang, Jiwook ; Truck, Stefan ; Sofronov, Georgy ; Shevchenko, Pavel V ; Malavasi, Matteo. In: Papers. RePEc:arx:papers:2202.10588.

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2023Bayesian Bilinear Neural Network for Predicting the Mid-price Dynamics in Limit-Order Book Markets. (2022). Magris, Martin ; Iosifidis, Alexandros ; Shabani, Mostafa. In: Papers. RePEc:arx:papers:2203.03613.

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2022Willingness to pay, surplus and Insurance policy under dual theory. (2022). Saidi, Neji . In: Papers. RePEc:arx:papers:2204.04794.

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2022Optimal dynamic insurance contracts. (2022). Luz, Vitor Farinha. In: Papers. RePEc:arx:papers:2208.14560.

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2022Moral Hazard on Productivity Among Work-From-Home Workers Amid the COVID-19 Pandemic. (2022). Lee, Jieun. In: Papers. RePEc:arx:papers:2209.05684.

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2022A Posteriori Risk Classification and Ratemaking with Random Effects in the Mixture-of-Experts Model. (2022). Lin, Sheldon X ; Badescu, Andrei L ; Fung, Tsz Chai ; Chan, Ian Weng ; Tseung, Spark C. In: Papers. RePEc:arx:papers:2209.15212.

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2023Measuring tail risk at high-frequency: An $L_1$-regularized extreme value regression approach with unit-root predictors. (2023). Trapin, Luca ; Sun, LI ; Hambuckers, Julien. In: Papers. RePEc:arx:papers:2301.01362.

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2023Diversification quotients based on VaR and ES. (2023). Wang, Ruodu ; Lin, Liyuan ; Han, Xia. In: Papers. RePEc:arx:papers:2301.03517.

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2023The strategic choice of payment method in takeovers: The role of environmental, social and governance performance. (2023). Perego, Paolo ; Rigoni, Ugo ; Hussaini, Mussa. In: Business Strategy and the Environment. RePEc:bla:bstrat:v:32:y:2023:i:1:p:200-219.

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2022Industry tournament incentives and corporate hedging policies. (2022). Tuncez, Ahmet M ; Nart, Ahmet ; Lonare, Gunratan. In: Financial Management. RePEc:bla:finmgt:v:51:y:2022:i:2:p:399-453.

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2022Certification by financial and legal advisors in private debt markets. (2022). Soumare, Issouf ; Power, Gabriel J ; Tandja, Djerry C. In: The Financial Review. RePEc:bla:finrev:v:57:y:2022:i:4:p:893-923.

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2022How Do Financial Constraints Affect Product Pricing? Evidence from Weather and Life Insurance Premiums. (2022). Ge, Shan. In: Journal of Finance. RePEc:bla:jfinan:v:77:y:2022:i:1:p:449-503.

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2022Comoment risk in corporate bond yields and returns. (2022). Lejeune, Thomas ; Hubner, Georges ; Heck, Stephanie ; Franois, Pascal. In: Journal of Financial Research. RePEc:bla:jfnres:v:45:y:2022:i:3:p:471-512.

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2022Information asymmetry, ex ante moral hazard, and uninsurable risk in liability coverage: Evidence from Chinas automobile insurance market. (2022). Gao, Feng ; Deng, Yinglu ; Yao, YI ; Zheng, Hao. In: Journal of Risk & Insurance. RePEc:bla:jrinsu:v:89:y:2022:i:1:p:131-160.

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2022Incentive and welfare effects of correlated returns. (2022). Rey, Beatrice ; Peter, Richard ; Courbage, Christophe. In: Journal of Risk & Insurance. RePEc:bla:jrinsu:v:89:y:2022:i:1:p:5-34.

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2022Predicting insurance demand from risk attitudes. (2022). Sydnor, Justin R ; Ragin, Marc A ; Jaspersen, Johannes G. In: Journal of Risk & Insurance. RePEc:bla:jrinsu:v:89:y:2022:i:1:p:63-96.

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2022Technology heterogeneity and market structure. (2022). Rothschild, Casey ; Jia, Ruo ; Eling, Martin. In: Journal of Risk & Insurance. RePEc:bla:jrinsu:v:89:y:2022:i:2:p:427-448.

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2022Analysis of insurers performance using frontier efficiency and productivity methods. The great contributions by David Cummins and Mary Weiss. (2022). Rubiomisas, Maria. In: Risk Management and Insurance Review. RePEc:bla:rmgtin:v:25:y:2022:i:4:p:445-489.

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2022The effects of state legal environments on automobile insurance claims and compensation: Evidence from the Royal Globe doctrine. (2022). Tennyson, Sharon ; Richman, Brian. In: Risk Management and Insurance Review. RePEc:bla:rmgtin:v:25:y:2022:i:4:p:491-513.

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2022Macroeconomic Determinants of Corporate Credit Spreads: Evidence from Canada. (2022). Jahan, Nusrat. In: Carleton Economic Papers. RePEc:car:carecp:22-07.

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2023Optimal self-protection and health risk perception: bridging the gap between risk theory and the Health Belief Model. (2023). Leandri, Marc ; Augeraud-Veron, Emmanuelle. In: EconomiX Working Papers. RePEc:drm:wpaper:2023-12.

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2022Board attributes, hedging activities and exchange rate risk: Multi-country firm-level evidence. (2022). Sikarwar, Ekta. In: Economic Modelling. RePEc:eee:ecmode:v:110:y:2022:i:c:s0264999322000463.

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2023Optimal longevity risk transfer under asymmetric information. (2023). Schultze, Mark B ; Li, Hong ; Chen, AN. In: Economic Modelling. RePEc:eee:ecmode:v:120:y:2023:i:c:s0264999322004163.

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2022Market insurance and endogenous saving with multiple loss states. (2022). Hong, Jimin ; Seog, Hun S. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:61:y:2022:i:c:s1062940822000341.

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2022An explainable attention network for fraud detection in claims management. (2022). Spindler, Martin ; Low, Leander ; Farbmacher, Helmut. In: Journal of Econometrics. RePEc:eee:econom:v:228:y:2022:i:2:p:244-258.

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2023Unequal use of social insurance benefits: The role of employers. (2023). Stearns, Jenna ; Rossin-Slater, Maya ; Bedard, Kelly ; Bana, Sarah. In: Journal of Econometrics. RePEc:eee:econom:v:233:y:2023:i:2:p:633-660.

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2022Instance-dependent cost-sensitive learning for detecting transfer fraud. (2022). Verdonck, Tim ; Verbeke, Wouter ; Baesens, Bart ; Hoppner, Sebastiaan. In: European Journal of Operational Research. RePEc:eee:ejores:v:297:y:2022:i:1:p:291-300.

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2022Hedging and investment trade-offs in the U.S. oil industry. (2022). Veronese, Giovanni ; Ferriani, Fabrizio. In: Energy Economics. RePEc:eee:eneeco:v:106:y:2022:i:c:s0140988321005843.

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2022Optimal contracts under adverse selection for staple goods such as energy: Effectiveness of in-kind insurance. (2022). Hubert, Emma ; Chaton, Corinne ; Alasseur, Clemence. In: Energy Economics. RePEc:eee:eneeco:v:106:y:2022:i:c:s014098832100623x.

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2022Green bonds and conventional financial markets in China: A tale of three transmission modes. (2022). Lin, Boqiang ; Zhang, Zuopeng ; Su, Tong. In: Energy Economics. RePEc:eee:eneeco:v:113:y:2022:i:c:s0140988322003504.

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2022The role of asset payouts in the estimation of default barriers. (2022). Leledakis, George ; Episcopos, Athanasios ; Bougias, Alexandros. In: International Review of Financial Analysis. RePEc:eee:finana:v:81:y:2022:i:c:s105752192200062x.

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2023May board committees reduce the probability of financial distress? A survival analysis on Italian listed companies. (2023). Santulli, Rosalia ; Gallucci, Carmen ; Brogi, Marina ; Lagasio, Valentina. In: International Review of Financial Analysis. RePEc:eee:finana:v:87:y:2023:i:c:s1057521923000777.

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2023Systemic risk in non financial companies: Does governance matter?. (2023). Soana, Maria Gaia ; Cucinelli, Doriana. In: International Review of Financial Analysis. RePEc:eee:finana:v:87:y:2023:i:c:s1057521923001175.

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2022Standardization, transparency initiatives, and liquidity in the CDS market. (2022). Daures-Lescourret, Laurence ; Fulop, Andras. In: Journal of Financial Markets. RePEc:eee:finmar:v:59:y:2022:i:pa:s1386418122000106.

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2022Skin-in-the-game in ABS transactions: A critical review of policy options. (2022). Wilde, Christian ; Krahnen, Jan-Pieter. In: Journal of Financial Stability. RePEc:eee:finsta:v:60:y:2022:i:c:s1572308922000262.

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2022Regret-based optimal insurance design. (2022). Chi, Yichun ; Zhuang, Sheng Chao. In: Insurance: Mathematics and Economics. RePEc:eee:insuma:v:102:y:2022:i:c:p:22-41.

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2022Cyber risk frequency, severity and insurance viability. (2022). Sofronov, Georgy ; Jang, Jiwook ; Truck, Stefan ; Shevchenko, Pavel V ; Peters, Gareth W ; Malavasi, Matteo. In: Insurance: Mathematics and Economics. RePEc:eee:insuma:v:106:y:2022:i:c:p:90-114.

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2022Irreversible reinsurance: A singular control approach. (2022). Wong, Hoi Ying ; Park, Kyunghyun ; Yan, Tingjin. In: Insurance: Mathematics and Economics. RePEc:eee:insuma:v:107:y:2022:i:c:p:326-348.

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2023Financial conditions and incumbent quality responses to entry: Evidence from airlines on-time performance. (2023). Ren, Junqiushi. In: Journal of Air Transport Management. RePEc:eee:jaitra:v:107:y:2023:i:c:s0969699722001715.

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2022Market-consistent valuation of natural catastrophe risk. (2022). Braun, Alexander ; Beer, Simone. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:134:y:2022:i:c:s0378426621003010.

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2022Operational Risk is More Systemic than You Think: Evidence from U.S. Bank Holding Companies. (2022). Sedunov, John ; Mihov, Atanas ; Curti, Filippo ; Berger, Allen N. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:143:y:2022:i:c:s0378426622001996.

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2022Consumer over-indebtedness: A review and future research agenda. (2022). Botelho, Delane ; Leandro, Julio Cesar. In: Journal of Business Research. RePEc:eee:jbrese:v:145:y:2022:i:c:p:535-551.

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2022Positive information shocks, investor behavior and stock price crash risk. (2022). Sensoy, Ahmet ; Wu, Yiyao ; Yao, Shouyu ; Nguyen, Duc Khuong ; Cui, Xin. In: Journal of Economic Behavior & Organization. RePEc:eee:jeborg:v:197:y:2022:i:c:p:493-518.

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2023Precaution with multiple instruments: The importance of substitution effects. (2023). Peter, Richard ; Heinzel, Christoph. In: Journal of Economic Behavior & Organization. RePEc:eee:jeborg:v:207:y:2023:i:c:p:392-412.

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2022Genetic risk scores in life insurance underwriting. (2022). Koellinger, Philipp D ; Linner, Richard Karlsson. In: Journal of Health Economics. RePEc:eee:jhecon:v:81:y:2022:i:c:s0167629621001417.

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2022Mechanism design of multi-strategy health insurance plans under asymmetric information. (2022). Steffensen, Sonja ; Wang, Haiyan ; Sun, Huan. In: Omega. RePEc:eee:jomega:v:107:y:2022:i:c:s0305048321001638.

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2022Diversification and risk attitudes toward two risks. (2022). Wong, Kit Pong. In: Journal of Mathematical Economics. RePEc:eee:mateco:v:102:y:2022:i:c:s0304406822000714.

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2022Insurance with heterogeneous preferences. (2022). Liu, Fangda ; Boonen, Tim J. In: Journal of Mathematical Economics. RePEc:eee:mateco:v:102:y:2022:i:c:s030440682200074x.

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2022Optimal extended liability rule in a competitive financial market with heterogeneous borrower firms. (2022). Seshimo, Hiroyuki. In: Journal of Mathematical Economics. RePEc:eee:mateco:v:98:y:2022:i:c:s030440682100135x.

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2022Central Bank Policy and the concentration of risk: Empirical estimates. (2022). Kim, Daisoon ; Rey, Helene ; Coimbra, Nuno. In: Journal of Monetary Economics. RePEc:eee:moneco:v:125:y:2022:i:c:p:182-198.

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2023Modernising operational risk management in financial institutions via data-driven causal factors analysis: A pre-registered report. (2023). Vanstone, Bruce J ; Stern, Steven ; Gepp, Adrian ; Bilson, Christopher ; Cornwell, Nikki. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:77:y:2023:i:c:s0927538x22002013.

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2023Hierarchical generalized linear models, correlation and a posteriori ratemaking. (2023). Tchuenche, J M ; Diagne, M L ; Gning, Lucien. In: Physica A: Statistical Mechanics and its Applications. RePEc:eee:phsmap:v:614:y:2023:i:c:s0378437123000894.

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2022A joint strategy based on ordering and insurance for mitigating the effects of supply chain disruption on risk-averse firms. (2022). Zhai, Xin ; Lei, Ying ; Li, Mengyu ; Liu, Zhongyi. In: International Journal of Production Economics. RePEc:eee:proeco:v:244:y:2022:i:c:s0925527321003510.

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2023Bayes information updating and multiperiod supply chain screening. (2023). Luo, Yao ; Zhou, Jianheng. In: International Journal of Production Economics. RePEc:eee:proeco:v:256:y:2023:i:c:s0925527322003322.

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2023The performance of bidding companies in merger and acquisition deals: An empirical study of domestic acquisitions in Hong Kong and Mainland China. (2023). Gregoriou, Andros ; Benjasak, Chonlakan ; Chen, Yawen ; Ahmed, Rizwan ; Than, Ei Thuzar ; Falah, Nusiebeh Nahar. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:87:y:2023:i:c:p:168-180.

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2023Predicting SMEs’ default risk: Evidence from bank-firm relationship data. (2023). Formisano, Vincenzo ; Gallucci, Carmen ; Pietrovito, Filomena ; Modina, Michele. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:89:y:2023:i:c:p:254-268.

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2022The value of cross-data set analysis for automobile insurance fraud detection. (2022). Yankol-Schalck, Meryem. In: Research in International Business and Finance. RePEc:eee:riibaf:v:63:y:2022:i:c:s0275531922001556.

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2023A bibliometric review of liquidity creation. (2023). Pana, Elisabeta. In: Research in International Business and Finance. RePEc:eee:riibaf:v:64:y:2023:i:c:s0275531922002276.

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2023Corporate bond liquidity and yield spreads: A review. (2023). Namin, Elmira Shekari ; Goldstein, Michael A. In: Research in International Business and Finance. RePEc:eee:riibaf:v:65:y:2023:i:c:s027553192300051x.

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2022Social capital and suicidal behaviors: Evidence from the United States counties. (2022). Showalter, Dean ; Kishan, Ruby P ; Zhai, Muxin. In: Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics). RePEc:eee:soceco:v:98:y:2022:i:c:s2214804322000313.

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2022Role of Communication and Technology in Crisis Management. (2018). Nadira, Raki ; Guembour, Abderraouf. In: European Journal of Engineering and Formal Sciences Articles. RePEc:eur:ejefjr:26.

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2022A Study of Banks’ Systemic Importance and Moral Hazard Behaviour: A Panel Threshold Regression Approach. (2022). Jain, Arushi ; Gupta, C P. In: JRFM. RePEc:gam:jjrfmx:v:15:y:2022:i:11:p:537-:d:976110.

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2023Investigation and Modelling of Economic Systematic Risk and Capital Requirement: A Monte Carlo Simulation. (2023). Gassouma, Mohamed Sadok ; Benhamed, Adel. In: JRFM. RePEc:gam:jjrfmx:v:16:y:2023:i:4:p:241-:d:1123093.

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2022Approximation of Zero-Inflated Poisson Credibility Premium via Variational Bayes Approach. (2022). Jeong, Himchan ; Kim, Minwoo ; Dey, Dipak. In: Risks. RePEc:gam:jrisks:v:10:y:2022:i:3:p:54-:d:763101.

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2022Variable Selection Algorithm for a Mixture of Poisson Regression for Handling Overdispersion in Claims Frequency Modeling Using Telematics Car Driving Data. (2022). Makov, Udi ; Boris, S T ; Shapovalov, Vered ; Shamir, Ariel. In: Risks. RePEc:gam:jrisks:v:10:y:2022:i:4:p:83-:d:791726.

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2022Readability of Financial Footnotes, Audit Fees, and Risk Management Committee. (2022). Harymawan, Iman ; Prabhawa, Aditya Aji. In: Risks. RePEc:gam:jrisks:v:10:y:2022:i:9:p:170-:d:898643.

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2022Effective Risk Management and Sustainable Corporate Performance Integrating Innovation and Intellectual Capital: An Application on Istanbul Exchange Market. (2022). Akturk, Esin Benhur ; Ikriki, Mustafa ; Ozyeil, Mustafa ; Faedfar, Sara. In: Sustainability. RePEc:gam:jsusta:v:14:y:2022:i:18:p:11532-:d:914768.

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2022Vehicle Telematics for Safer, Cleaner and More Sustainable Urban Transport: A Review. (2022). Pope, Francis D ; Chapman, Sam ; Ursell, Helen ; Osei, Louisa K ; Burke, Mark ; Ghaffarpasand, Omid. In: Sustainability. RePEc:gam:jsusta:v:14:y:2022:i:24:p:16386-:d:996587.

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2023The Impact of Board Governance on Firm Risk among China’s A-Share Market-Listed Companies from 2010 to 2019. (2023). Wang, Junli ; Lv, Wendong ; Xu, NA. In: Sustainability. RePEc:gam:jsusta:v:15:y:2023:i:5:p:4067-:d:1077916.

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2022Personalized information and willingness to pay for non-financial risk prevention : an experiment. (2022). Massin, Sophie ; Flambard, Veronique ; Crainich, David ; Arrighi, Yves. In: Post-Print. RePEc:hal:journl:hal-03700914.

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2022A Continuous-Time Model of Self-Protection. (2020). Santibaez, Nicolas Hernandez ; Bensalem, Sarah ; Kazi-Tani, Nabil. In: Working Papers. RePEc:hal:wpaper:hal-02974961.

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2022Firm responses to a more generous insurance against high sick pay costs. (2022). Lindahl, Erica ; Liljeberg, Linus ; Hall, Caroline. In: Working Paper Series. RePEc:hhs:ifauwp:2022_014.

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2022Time to revisit the agency theory and expand our thoughts on what motivates physicians? A nudge to health economists. (2022). Pedersen, Line ; Oxholm, Anne Sophie ; Gyrd-Hansen, Dorte ; Jensen, Ulrich Thy ; Jacobsen, Christian Botcher. In: DaCHE discussion papers. RePEc:hhs:sduhec:2022_001.

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2022Elicitability of Instance and Object Ranking. (2022). Werner, Tino. In: Decision Analysis. RePEc:inm:ordeca:v:19:y:2022:i:2:p:123-140.

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2022Patchwork Constructions of Multiattribute Utility Functions. (2022). Zhou, Zhengyong ; Xie, Jiehua. In: Decision Analysis. RePEc:inm:ordeca:v:19:y:2022:i:2:p:141-169.

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2022Changes in Risky Benefits and in Risky Costs: A Question of the Right Order. (2022). Peter, Richard ; Menegatti, Mario. In: Management Science. RePEc:inm:ormnsc:v:68:y:2022:i:5:p:3625-3634.

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2022Corporate bond yields and returns: a survey. (2022). Heck, Stephanie. In: Financial Markets and Portfolio Management. RePEc:kap:fmktpm:v:36:y:2022:i:2:d:10.1007_s11408-021-00394-4.

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2023CEO Inside Debt and Employee Workplace Safety. (2023). Yu, Yangxin ; Li, Yueting ; Wu, Xuan. In: Journal of Business Ethics. RePEc:kap:jbuset:v:182:y:2023:i:1:d:10.1007_s10551-021-05033-6.

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2023Financial ratios, corporate governance and bank-firm information: a Bayesian approach to predict SMEs’ default. (2023). Formisano, Vincenzo ; Modina, Michele ; Santullli, Rosalia ; Gallucci, Carmen. In: Journal of Management & Governance. RePEc:kap:jmgtgv:v:27:y:2023:i:3:d:10.1007_s10997-021-09614-5.

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2022Pricing Moral Hazard in Residential Properties: The Impact of Sinkhole Claims on House Prices. (2022). Sirmans, Stacy G ; Nyce, Charles ; Dumm, Randy E ; Smersh, Greg T. In: The Journal of Real Estate Finance and Economics. RePEc:kap:jrefec:v:64:y:2022:i:1:d:10.1007_s11146-020-09804-2.

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2022Personalized information and willingness to pay for non-financial risk prevention: An experiment. (2022). Crainich, David ; Massin, Sophie ; Flambard, Veronique ; Arrighi, Yves. In: Journal of Risk and Uncertainty. RePEc:kap:jrisku:v:65:y:2022:i:1:d:10.1007_s11166-022-09384-x.

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2023Pricing vulnerable basket spread options with liquidity risk. (2023). Wang, Xingchun ; Tang, Dan ; Dong, Ziming. In: Review of Derivatives Research. RePEc:kap:revdev:v:26:y:2023:i:1:d:10.1007_s11147-022-09192-0.

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2023CREDIT RISK ASSESSMENT USING DEFAULT MODELS: A REVIEW. (2023). Jumbe, George. In: OSF Preprints. RePEc:osf:osfxxx:ksb8n.

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2023Firm Finances and the Spread of COVID-19: Evidence from Nursing Homes. (2023). Weagley, Daniel ; Begley, Taylor A. In: Review of Corporate Finance Studies. RePEc:oup:rcorpf:v:12:y:2023:i:1:p:1-35..

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2022Trust and Insurance Contracts. (2022). Shleifer, Andrei ; Lopez-De, Florencio ; la Porta, Rafael ; Laporta, Rafael ; Gennaioli, Nicola. In: Review of Financial Studies. RePEc:oup:rfinst:v:35:y:2022:i:12:p:5287-5333..

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2022The prevention puzzle. (2022). Bleichrodt, Han. In: The Geneva Risk and Insurance Review. RePEc:pal:genrir:v:47:y:2022:i:2:d:10.1057_s10713-022-00079-6.

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2023Probability weighting and insurance demand in a unified framework. (2023). Ragin, Marc A ; Peter, Richard ; Jaspersen, Johannes G. In: The Geneva Risk and Insurance Review. RePEc:pal:genrir:v:48:y:2023:i:1:d:10.1057_s10713-022-00074-x.

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More than 100 citations found, this list is not complete...

Georges Dionne is editor of


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YearTitleTypeCited
2021Coherent Diversification Measures in Portfolio Theory: An Axiomatic Foundation In: Working Papers.
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paper1
2022Coherent Diversification Measures in Portfolio Theory: An Axiomatic Foundation.(2022) In: Risks.
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2019Coherent diversification measures in portfolio theory: An axiomatic foundation.(2019) In: Working Papers.
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paper
2006Estimation of the Default Risk of Publicly Traded Canadian Companies In: Staff Working Papers.
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2006Estimation of the Default Risk of Publicly Traded Canadian Companies.(2006) In: Cahiers de recherche.
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2010Default Risk in Corporate Yield Spreads In: Financial Management.
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article7
2005Default Risk in Corporate Yield Spreads.(2005) In: Cahiers de recherche.
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2013SEPARATING MORAL HAZARD FROM ADVERSE SELECTION AND LEARNING IN AUTOMOBILE INSURANCE: LONGITUDINAL EVIDENCE FROM FRANCE In: Journal of the European Economic Association.
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article30
2010Separating Moral Hazard from Adverse Selection and Learning in Automobile Insurance: Longitudinal Evidence from France.(2010) In: Cahiers de recherche.
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paper
2010Separating moral hazard from adverse selection and learning in automobile insurance: Longitudinal evidence from France.(2010) In: Working Papers.
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paper
2005The (1992) Bonus?Malus System in Tunisia: An Empirical Evaluation In: Journal of Risk & Insurance.
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article6
2003The (1992) Bonus-Malus System in Tunisia: An Empirical Evaluation.(2003) In: THEMA Working Papers.
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paper
2009Introduction to the Special Issue on Long?Term Care Insurance and Health Insurance In: Journal of Risk & Insurance.
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article0
2009Introduction to the SCOR?JRI Special Issue on New Forms of Risk Financing and Risk Engineering In: Journal of Risk & Insurance.
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article0
2010Introduction to the 2010 Special Issue of JRI on Health Insurance In: Journal of Risk & Insurance.
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article0
2011The Theory of Corporate Finance, by Jean Tirole In: Journal of Risk & Insurance.
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article1
20112011 Editor Report In: Journal of Risk & Insurance.
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article1
2014Introduction: Symposium on Convergence, Interconnectedness, and Crises: Insurance and Banking In: Journal of Risk & Insurance.
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article0
2013Risk Management: History, Definition, and Critique In: Risk Management and Insurance Review.
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article28
2013Risk Management : History, Definition and Critique.(2013) In: Cahiers de recherche.
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2013Risk management: History, definition and critique.(2013) In: Working Papers.
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2019The governance of risk management: The importance of directors’ independence and financial knowledge In: Risk Management and Insurance Review.
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article0
2018The Governance of Risk Management: The Importance of Directors’ Independence and Financial Knowledge.(2018) In: Working Papers.
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2021Effects of Insurance Incentives on Road Safety: Evidence from a Natural Experiment in China In: Scandinavian Journal of Economics.
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article1
2019Effects of Insurance Incentives on Road Safety: Evidence from a Natural Experiment in China.(2019) In: Working Papers.
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2008Asymmetric Information and Adverse Selection in Mauritian Slave Auctions In: Swiss Finance Institute Research Paper Series.
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paper14
2009Asymmetric Information and Adverse Selection in Mauritian Slave Auctions.(2009) In: Review of Economic Studies.
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article
1983Variations in the Probability and Magnitude of Loss: Their Impact on Risk. In: Canadian Journal of Economics.
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article7
1985Securite routiere: responsabilite pour negligence et tarification. Road Safety: Liability for Negligence and Pricing. With English summary.) In: Canadian Journal of Economics.
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article0
1988Accessibilite aux ressources et demande de revascularisation du myocarde. (Accessibility to Resources and Demand of Heart Revascularization. With English summary.) In: Canadian Journal of Economics.
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article0
1989More on Insurance, Protection, and Risk. In: Canadian Journal of Economics.
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article4
1988More on Insurance, Protection and Risk.(1988) In: Cahiers de recherche.
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1988MORE ON INSURANCE, PROTECTION AND RISK.(1988) In: Cahiers de recherche.
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2013Default and liquidity regimes in the bond market during the 2002-2012 period In: Canadian Journal of Economics.
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article3
2013Default and Liquidity Regimes in the Bond Market during the 2002-2012 Period.(2013) In: Cahiers de recherche.
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2013Default and liquidity regimes in the bond market during the 2002-2012 period.(2013) In: Working Papers.
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2015Does asymmetric information affect the premium in mergers and acquisitions? In: Canadian Journal of Economics.
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article15
2010Does Asymmetric Information Affect the Premium in Mergers and Acquisitions?.(2010) In: Cahiers de recherche.
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2014Does asymmetric information affect the premium in mergers and acquisitions?.(2014) In: Working Papers.
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paper
2015Does asymmetric information affect the premium in mergers and acquisitions?.(2015) In: Canadian Journal of Economics/Revue canadienne d'économique.
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article
2004Comparative mixed risk aversion: definition and application to self-protection and willingness to pay In: LIDAM Reprints CORE.
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paper32
2004Comparative Mixed Risk Aversion: Definition and Application to Self-Protection and Willingness to Pay.(2004) In: Journal of Risk and Uncertainty.
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article
1985Self-insurance, self-protection and increased risk aversion In: LIDAM Reprints CORE.
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paper181
1985Self-insurance, self-protection and increased risk aversion.(1985) In: Economics Letters.
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article
1984Self-Insurance, Self-Protection and Increased Risk Aversion.(1984) In: Cahiers de recherche.
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paper
1985Adverse selection, repeated insurance contracts and announcement strategy In: LIDAM Reprints CORE.
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paper26
1984Adverse Selection, Repeated Insurance Contracts and Announcement Strategy.(1984) In: Cahiers de recherche.
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paper
1985Adverse Selection, Repeated Insurance Contracts and Announcement Strategy.(1985) In: Review of Economic Studies.
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article
1987Proportional risk aversion, taxation and labor supply under uncertainty In: LIDAM Reprints CORE.
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paper4
1984Proportional Risk Aversion, Taxation and Labor Supply Under Uncertainty.(1984) In: Cahiers de recherche.
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paper
1994Debts, moral hazard and airline safety : an empirica evidence In: CEPREMAP Working Papers (Couverture Orange).
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paper32
1997Debt, moral hazard and airline safety An empirical evidence.(1997) In: Journal of Econometrics.
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1993Debt, Moral Hazard and Airline Safety : An Empirical Evidence..(1993) In: Cahiers de recherche.
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paper
1987Description and Analysis of the Quebec Automobile Insurance Plan In: Canadian Public Policy.
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article0
1995Incentives in Multi-Period Regulation and Procurement: A Graphical Analysis In: Cahiers de recherche du Département des sciences économiques, UQAM.
[Citation analysis]
paper2
1995Incentives in Multi-period Regulation and Procurement:a Graphical Analysis..(1995) In: Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
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paper
1995Incentives in Multi-Period Regulation and Procurement : a Graphical Analysis..(1995) In: Cahiers de recherche.
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paper
1995Incentives in Multi-Period Regulation and Procurement : A Graphical Analysis..(1995) In: Cahiers de recherche.
[Citation analysis]
This paper has another version. Agregated cites: 2
paper
1997The Informational Content of Household Decisions In: Working Papers.
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paper11
1998Evidence of Adverse Selection in Automobile Insurance Markets In: Working Papers.
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paper15
1998Evidence of adverse selection in automobile insurance markets.(1998) In: THEMA Working Papers.
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paper
1998Evidence of Adverse Selection in Automobile Insurance Markets.(1998) In: Ecole des Hautes Etudes Commerciales de Montreal-.
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paper
1998Evidence of Adverse Selection in Automobile Insurance Markets.(1998) In: Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
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paper
1989A Generalization of Automobile Insurance Rating Models: The Negative Binomial Distribution with a Regression Component In: ASTIN Bulletin.
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article58
1988A Generalization of Automobile Insurance Rating Models: the Negative Binomial Distribution with a Regression Component.(1988) In: Cahiers de recherche.
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paper
1988A GENERALIZATION OF AUTOMOBILE INSURANCE RATING MODELS: THE NEGATIVE BINOMIAL DISTRIBUTION WITH A REGRESSION COMPONENT.(1988) In: Cahiers de recherche.
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paper
2001Experience Rating Schemes for Fleets of Vehicles* In: ASTIN Bulletin.
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article7
2000Experience rating schemes for fleets of vehicles.(2000) In: THEMA Working Papers.
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paper
2000Experience Rating Schemes for Fleets of Vehicules..(2000) In: Ecole des Hautes Etudes Commerciales de Montreal-.
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paper
1999Experience rating schemes for fleets of vehicles.(1999) In: Post-Print.
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paper
2006Vehicle and Fleet Random Effects in a Model of Insurance Rating for Fleets of Vehicles In: ASTIN Bulletin.
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article4
2004Vehicle and Fleet Random Effects in a Model of Insurance Rating for Fleets of Vehicles.(2004) In: Cahiers de recherche.
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paper
2018MODELLING AND ESTIMATING INDIVIDUAL AND FIRM EFFECTS WITH COUNT PANEL DATA In: ASTIN Bulletin.
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article2
2015Modelling and Estimating Individual and Firm Effects with Count Panel Data.(2015) In: Cahiers de recherche.
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2018Modelling and Estimating Individual and Firm Effects with Count Panel Data.(2018) In: Working Papers.
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paper
2014Detecting Regime Shifts in Credit Spreads In: Journal of Financial and Quantitative Analysis.
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article6
2021The impact of central clearing on the market for single-name credit default swaps In: The North American Journal of Economics and Finance.
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article2
2019The impact of central clearing on the market for single-name credit default swaps.(2019) In: Working Papers.
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2008Empirical evaluation of the asset-allocation puzzle In: Economics Letters.
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article1
2011The impact of prudence on optimal prevention revisited In: Economics Letters.
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article26
2010The Impact of Prudence on Optimal Prevention Revisited.(2010) In: Cahiers de recherche.
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paper
2010The impact of prudence on optimal prevention revisited.(2010) In: Working Papers.
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paper
1993Relatively weak increases in risk and their comparative statics In: Economics Letters.
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article5
1994Moral hazard, renegotiation and debt In: Economics Letters.
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article5
1996Non-convexities and the efficiency of equilibria in insurance markets with asymmetric information In: Economics Letters.
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article5
1995Non-Convexities and Efficiency of Equilibria in Insurance Markets with Asymmetric Information..(1995) In: Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
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1995Non-Convexities and Efficiency of Equilibria in Insurance Markets with Asymmetric Information..(1995) In: Cahiers de recherche.
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paper
1995Non-Convexities and Efficiency of Equilibria in Insurance Markets with Asymmetric Information..(1995) In: Cahiers de recherche.
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paper
2001Stochastic dominance and optimal portfolio In: Economics Letters.
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article2
2001Stochastic Dominance and Optimal Portfolio.(2001) In: THEMA Working Papers.
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2001Stochastic Dominance and Optimal Portfolio..(2001) In: Ecole des Hautes Etudes Commerciales de Montreal-.
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2003Risk management determinants affecting firms values in the gold mining industry: new empirical results In: Economics Letters.
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article27
2000Risk Management Determinants Affecting Firms Values in the Gold Mining Industry : New Empirical Results.(2000) In: THEMA Working Papers.
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2000Risk Management Determinants Affecting Firms Values in the Gold Mining Industry: New Empirical Results..(2000) In: Ecole des Hautes Etudes Commerciales de Montreal-.
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1998Inferring technological parameters from incomplete panel data In: Journal of Econometrics.
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1995Infessing Technological Parameters from Incomplete Panel Data..(1995) In: Cahiers de recherche.
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1995Infessing Technological Parameters from Incomplete Panel Data..(1995) In: Cahiers de recherche.
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1987Adverse selection and finite-horizon insurance contracts In: European Economic Review.
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article8
2009Intraday Value at Risk (IVaR) using tick-by-tick data with application to the Toronto Stock Exchange In: Journal of Empirical Finance.
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article32
2005Intraday Value at Risk (IVaR) Using Tick-by-Tick Data with Application to the Toronto Stock Exchange.(2005) In: Cahiers de recherche.
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2012On the determinants of the implied default barrier In: Journal of Empirical Finance.
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article9
2009On the Determinants of the Implied Default Barrier.(2009) In: Cahiers de recherche.
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2015Is there any dependence between consumer credit line utilization and default probability on a term loan? Evidence from bank-customer data In: Journal of Empirical Finance.
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1996Count data models for a credit scoring system In: Journal of Empirical Finance.
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article23
2022Asymmetric effects of the limit order book on price dynamics In: Journal of Empirical Finance.
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article0
2021Asymmetric Effects of the Limit Order Book on Price Dynamics.(2021) In: Working Papers.
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2022Reinsurance demand and liquidity creation: A search for bicausality In: Journal of Empirical Finance.
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article1
2022Reinsurance demand and liquidity creation: A search for bi-causality.(2022) In: Working Papers.
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2023Determinants and real effects of joint hedging: An empirical analysis of US oil and gas producers In: Energy Economics.
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article0
2023Determinants and real effects of joint hedging: An empirical analysis of US oil and gas producers.(2023) In: Working Papers.
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2017The use of nonlinear hedging strategies by US oil producers: Motivations and implications In: Energy Economics.
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article6
2023International high-frequency arbitrage for cross-listed stocks In: International Review of Financial Analysis.
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article0
2022International High-Frequency Arbitrage for Cross-Listed Stocks.(2022) In: Working Papers.
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2011Corporate risk management and dividend signaling theory In: Finance Research Letters.
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article6
2010Corporate Risk Management and Dividend Signaling Theory.(2010) In: Cahiers de recherche.
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paper
2010Corporate risk management and dividend signaling theory.(2010) In: Working Papers.
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2014Entry, imperfect competition, and futures market for the input In: International Journal of Industrial Organization.
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article4
2012Entry, Imperfect Competition, and Futures Market for the Input.(2012) In: Cahiers de recherche.
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2013Entry, imperfect competition, and futures market for the input.(2013) In: Working Papers.
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paper
1984Insurance and saving: some further results In: Insurance: Mathematics and Economics.
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article35
1982Insurance and Saving: Some Further Results.(1982) In: Cahiers de recherche.
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1990Applications of the GB2 family of distributions in modeling insurance loss processes In: Insurance: Mathematics and Economics.
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article37
1988Applications of the Gb2 Family of Distributions in the Modeling Insurance Loss Processe..(1988) In: Cahiers de recherche.
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1988APPLICATIONS OF THE GB2 FAMILY OF DISTRIBUTIONS IN THE MODELING INSURANCE LOSS PROCESSE..(1988) In: Cahiers de recherche.
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paper
2023Forecasting expected shortfall: Should we use a multivariate model for stock market factors? In: International Journal of Forecasting.
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article0
2019Forecasting Expected Shortfall: Should we use a Multivariate Model for Stock Market Factors?.(2019) In: Working Papers.
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2008Dynamics of insurance markets: Structure, conduct, and performance in the 21st century In: Journal of Banking & Finance.
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article0
2008Consolidation and value creation in the insurance industry: The role of governance In: Journal of Banking & Finance.
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article14
2006Consolidation and Value Creation in the Insurance Industry: the Role of Governance.(2006) In: Cahiers de recherche.
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2010Scaling models for the severity and frequency of external operational loss data In: Journal of Banking & Finance.
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article31
2007Scaling Models for the Severity and Frequency of External Operational Loss Data.(2007) In: Cahiers de recherche.
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2011A reduced form model of default spreads with Markov-switching macroeconomic factors In: Journal of Banking & Finance.
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article21
2007A Reduced Form Model of Default Spreads with Markov Switching Macroeconomic Factors.(2007) In: Cahiers de recherche.
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2010A Reduced Form Model of Default Spreads with Markov-Switching Macroeconomic Factors.(2010) In: Cahiers de recherche.
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2010A reduced form model of default spreads with Markov-switching macroeconomic factors.(2010) In: Working Papers.
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2014Credit spread changes within switching regimes In: Journal of Banking & Finance.
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article19
2009Credit Spread Changes within Switching Regimes.(2009) In: Cahiers de recherche.
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2015Liquidity-adjusted Intraday Value at Risk modeling and risk management: An application to data from Deutsche Börse In: Journal of Banking & Finance.
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2014Liquidity-adjusted Intraday Value at Risk modeling and Risk Management: an Application to Data from Deutsche Börse.(2014) In: Cahiers de recherche.
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2014Liquidity-adjusted Intraday Value at Risk modeling and risk management: An application to data from Deutsche Börse.(2014) In: Working Papers.
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2018Dynamic corporate risk management: Motivations and real implications In: Journal of Banking & Finance.
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article4
2018Dynamic Corporate Risk Management: Motivations and Real Implications.(2018) In: Working Papers.
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2014When can expected utility handle first-order risk aversion? In: Journal of Economic Theory.
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article8
2014When can expected utility handle first-order risk aversion?.(2014) In: Working Papers.
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2013On debt service and renegotiation when debt-holders are more strategic In: Journal of Financial Intermediation.
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article16
2013On debt service and renegotiation when debt-holders are more strategic.(2013) In: Post-Print.
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2007On Debt Service and Renegotiation when Debt-holders Are More Strategic.(2007) In: Cahiers de recherche.
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2005Risk Management and Corporate Governance: the Importance of Independence and Financial Knowledge for the Board and the Audit Committee In: Cahiers de recherche.
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2006Heterogeneous Basket Options Pricing Using Analytical Approximations In: Cahiers de recherche.
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2011Heterogeneous Basket Options Pricing Using Analytical Approximations.(2011) In: Multinational Finance Journal.
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2006Adverse Selection in the Market for Slaves in Mauritius, 1825-1835 In: Cahiers de recherche.
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2006Perception of the Risks Associated with Impaired Driving and Effects on Driving Behavior In: Cahiers de recherche.
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2006Empirical Evaluation of Investor Rationality in the Asset Allocation Puzzle In: Cahiers de recherche.
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2007What about Underevaluating Operational Value at Risk in the Banking Sector? In: Cahiers de recherche.
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2009Basket Options on Heterogeneous Underlying Assets In: Cahiers de recherche.
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2009Detecting Regime Shifts in Corporate Credit Spreads In: Cahiers de recherche.
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2009Performance Analysis of a Collateralized Fund Obligation (CFO) Equity Tranche In: Cahiers de recherche.
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2013Performance analysis of a collateralized fund obligation (CFO) equity tranche.(2013) In: The European Journal of Finance.
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2009Structured Finance, Risk Management, and the Recent Financial Crisis In: Cahiers de recherche.
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2010Extremal Events in a Bank Operational Losses In: Cahiers de recherche.
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2010Extremal events in a bank operational losses.(2010) In: Working Papers.
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2010Le calcul de la valeur statistique dune vie humaine In: Cahiers de recherche.
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2010Le calcul de la valeur statistique dune vie humaine.(2010) In: MPRA Paper.
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2010Le calcul de la valeur statistique d’une vie humaine.(2010) In: L'Actualité Economique.
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2010Le cacul de la valeur statistique dune vie humaine.(2010) In: Working Papers.
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2010A Theoretical Extension of the Consumption-based CAPM Model In: Cahiers de recherche.
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2011First-order (Conditional) Risk Aversion, Background Risk and Risk Diversification In: Cahiers de recherche.
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2011Is there Any Dependence Between Consumer Credit Line Utilization and Default Probability on a Term Loan? Evidence from Bank-Level Data In: Cahiers de recherche.
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2013Is there any dependence between consumer credit line utilization and default probability on a term loan? Evidence from bank-level data.(2013) In: Working Papers.
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2011Book Review of : The Theory of Corporate Finance In: Cahiers de recherche.
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2011Does Opportunistic Fraud in Automobile theft Insurance Fluctuate with the Business Cycle ? In: Cahiers de recherche.
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2011Does opportunistic fraud in automobile theft insurance fluctuate with the business cycle?.(2011) In: Working Papers.
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2011Risk Classification in Insurance Contracting In: Cahiers de recherche.
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2012Risk classification in insurance contracting.(2012) In: Working Papers.
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2012An Extension of the Consumption-based CAPM Model In: Cahiers de recherche.
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2023An extension of the consumption-based CAPM model.(2023) In: Working Papers.
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2012Comparative Ross Risk Aversion in the Presence of Quadrant Dependent Risks In: Cahiers de recherche.
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2012Comparative Ross risk aversion in the presence of quadrant dependent risks.(2012) In: Working Papers.
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2012Adverse Selection in Insurance Contracting In: Cahiers de recherche.
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2012Adverse selection in insurance contracting.(2012) In: Working Papers.
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2012Risk Classification and Health Insurance In: Cahiers de recherche.
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2012Risk classification and health insurance.(2012) In: Working Papers.
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2012The Empirical Measure of Information Problems with Emphasis on Insurance Fraud and Dynamic Data In: Cahiers de recherche.
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2012The empirical measure of information problems with emphasis on insurance fraud and dynamic data.(2012) In: Working Papers.
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2013Gestion des risques : histoire, définition et critique In: Cahiers de recherche.
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2013Gestion des risques : histoire, définition et critique.(2013) In: Working Papers.
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2013How Do Firms Hedge Risks? Empirical Evidence from U.S. Oil and Gas Producers In: Cahiers de recherche.
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2013How do firms hedge risks? Empirical evidence from U.S. oil and gas producers.(2013) In: Working Papers.
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2013The Maturity Structure of Corporate Hedging: the Case of the U.S. Oil and Gas Industry In: Cahiers de recherche.
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2013The maturity structure of corporate hedging: The case of the U.S. oil and gas industry.(2013) In: Working Papers.
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2014Health Care Workers Risk Perceptions of Personal and Work Activities and Willingness to Report for Work During an Influenza Pandemic In: Cahiers de recherche.
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2014Health care workers’ risk perceptions of personal and work activities and willingness to report for work during an influenza pandemic.(2014) In: Working Papers.
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2014Economic Effects of Risk Classification Bans In: Cahiers de recherche.
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2014Economic Effects of Risk Classification Bans.(2014) In: The Geneva Risk and Insurance Review.
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2014Economic Effects of Risk Classification Bans.(2014) In: Working Papers.
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2014Effects of the Limit Order Book on Price Dynamics In: Cahiers de recherche.
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2014Effects of the Limit Order Book on Price Dynamics.(2014) In: Working Papers.
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2015Étude des comportements de sécurité routière des propriétaires, exploitants et conducteurs des véhicules lourds au Québec In: Cahiers de recherche.
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2015Étude des comportements de sécurité routière des propriétaires, exploitants et conducteurs des véhicules lourds au Québec.(2015) In: Working Papers.
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2015Endogenous Hidden Markov Regimes in Operational Loss Data: Application to the Recent Financial Crisis In: Cahiers de recherche.
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1979Moral Hazard and Search Activity In: Cahiers de recherche.
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1979Analyse des Effets de Lassurance et de la Relation de Confiance Consommateur-Producteur Sur les Possibilites Dabus des Chirurgiens In: Cahiers de recherche.
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1980Analyse des effets de l’assurance et de la relation de confiance consommateur-producteur sur les possibilités d’abus des chirurgiens.(1980) In: L'Actualité Economique.
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1980Le Risque Moral et la Selection Adverse: une Revue Critique de la Litterature In: Cahiers de recherche.
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1981Le risque moral et la sélection adverse : une revue critique de la littérature.(1981) In: L'Actualité Economique.
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1980The Effects of Unemployment Benefits on U.S. Unemployment Rates: a Comment In: Cahiers de recherche.
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1980The effects of unemployment benefits on U.S. unemployment rates: A comment.(1980) In: Review of World Economics (Weltwirtschaftliches Archiv).
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1980Moral Hazard and State-Dependent Utility Function In: Cahiers de recherche.
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1980The Effects of Insurance on the Possibilities of Fraud In: Cahiers de recherche.
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1981Adverse Selection and Repeated Insurance Contracts In: Cahiers de recherche.
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1981Linfluence des Ressources Sur Lutilisation des Interventions Chirurgicales In: Cahiers de recherche.
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1982Search and Insurance (Revised) In: Cahiers de recherche.
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1982Riscophobie et Etalement a Moyenne Constante: Analyse et Applications In: Cahiers de recherche.
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1983Riscophobie et étalement à moyenne constante : analyse et applications.(1983) In: L'Actualité Economique.
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1982The Choice Between Equivalent Variations in the Probability and Magnitude of Loss In: Cahiers de recherche.
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1982Risk Aversion, Insurance and Gambling In: Cahiers de recherche.
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1983Securite Routiere: Efficacite, Subvention et Reglementation In: Cahiers de recherche.
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1984Sécurité routière : efficacité, subvention et réglementation.(1984) In: L'Actualité Economique.
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1983The Riskiness of Equivalent Governmental Policies In: Cahiers de recherche.
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1983Adverse Selection and Repeated Insurance Contracts: Finite and Infinite Horizons In: Cahiers de recherche.
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1984The Effect of Capital Risk on Saving Decision In: Cahiers de recherche.
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1985Increasing Risk and Self-Protection Activities In: Cahiers de recherche.
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1985Accessibilite aux Ressources et Demande de Revascularisation du Myocarde. In: Cahiers de recherche.
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1985More on Geographical Distribution of Physicians and Market Failure In: Cahiers de recherche.
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1985Consumption Decisions Under Uncertainty: an Extension In: Cahiers de recherche.
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1985An Analysis of the Quebec Automobile Insurance Regime In: Cahiers de recherche.
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1985Moral Hazard and Experience Rating: an Empirical Analysis In: Cahiers de recherche.
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1985La Tarification de Lassurance Automobile et les Incitations a la Securite Routiere: une Etude Empirique In: Cahiers de recherche.
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1986La tarification de lassurance automobile et les incitations à la sécurité routière: Une étude empirique.(1986) In: Swiss Journal of Economics and Statistics (SJES).
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1985Dealing with Moral Hazard and Adverse Selection Simultaneously In: Cahiers de recherche.
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1986Public Information and Experience Rating In: Cahiers de recherche.
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1986Models and Methodologies in the Analysis of Regulation Effects in Airline Markets In: Cahiers de recherche.
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1987Insurance with Undiversifiable Risk In: Cahiers de recherche.
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1987Applications of the Gb2 Family of Probability Distributions in Collective Risk Theory In: Cahiers de recherche.
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1987Investissement En Incertitude Extension du Probleme de la Taille Optimale Dune Usine. In: Cahiers de recherche.
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1987Investissement en incertitude : extension du problème de la taille optimale d’une usine.(1987) In: L'Actualité Economique.
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1987Incertain et Information; Ou En Sommes-Nous Trente-Cinq Ans Apres le Colloque de Paris. In: Cahiers de recherche.
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1987Incertain et information : où en sommes-nous trente-cinq ans après le Colloque de Paris?.(1987) In: L'Actualité Economique.
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1988Essays on Economic Decisions Under Uncertainty: a Review Article In: Cahiers de recherche.
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1988ESSAYS ON ECONOMIC DECISIONS UNDER UNCERTAINTY: A REVIEW ARTICLE.(1988) In: Cahiers de recherche.
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1988Quen Est-Il des Rendements Dechelle Dans les Industries Quebecoises et Ontariennes de Transport Par Camion? In: Cahiers de recherche.
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1988QUEN EST-IL DES RENDEMENTS DECHELLE DANS LES INDUSTRIES QUEBECOISES ET ONTARIENNES DE TRANSPORT PAR CAMION?.(1988) In: Cahiers de recherche.
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1988Qu’en est-il des rendements d’échelle dans les industries québécoises et ontariennes de transport par camion?.(1988) In: L'Actualité Economique.
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1988Workers Compensation and Moral Hazard. In: Cahiers de recherche.
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1988WORKERS COMPENSATION AND MORAL HAZARD..(1988) In: Cahiers de recherche.
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1991Workers Compensation and Moral Hazard..(1991) In: The Review of Economics and Statistics.
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1989Proportional Risk Aversion and Saving Decisions Under Uncertainty In: Cahiers de recherche.
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1989PROPORTIONAL RISK AVERSION AND SAVING DECISIONS UNDER UNCERTAINTY.(1989) In: Cahiers de recherche.
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1989Risk Pooling, Contract Structure and Organizational Form of Insurance Firms In: Cahiers de recherche.
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1989RISK POOLING, CONTRACT STRUCTURE AND ORGANIZATIONAL FORM OF INSURANCE FIRMS.(1989) In: Cahiers de recherche.
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1989Moral Hazard, Optimal Auditing and Workers Compensation In: Cahiers de recherche.
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1989MORAL HAZARD, OPTIMAL AUDITING AND WORKERS COMPENSATION.(1989) In: Cahiers de recherche.
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1990Increases in Risk and the Demand for Insurance. In: Cahiers de recherche.
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1990INCREASES IN RISK AND THE DEMAND FOR INSURANCE..(1990) In: Cahiers de recherche.
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1990Infractions au Code de la Securite Routiere, Infractions au Code Criminel, et Gestion Optimale de la Securite Routiere. In: Cahiers de recherche.
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1990INFRACTIONS AU CODE DE LA SECURITE ROUTIERE, INFRACTIONS AU CODE CRIMINEL, ET GESTION OPTIMALE DE LA SECURITE ROUTIERE..(1990) In: Cahiers de recherche.
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1991Infractions au Code de la sécurité routière, infractions au Code criminel et gestion optimale de la sécurité routière.(1991) In: L'Actualité Economique.
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1991An Introduction to Insurance Economics. In: Cahiers de recherche.
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1991AN INTRODUCTION TO INSURANCE ECONOMICS..(1991) In: Cahiers de recherche.
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1991Adverse Selection in Insurance Markets: a Selective Survey. In: Cahiers de recherche.
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1991ADVERSE SELECTION IN INSURANCE MARKETS: A SELECTIVE SURVEY..(1991) In: Cahiers de recherche.
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1991Comparative Statics Under Multiple Sources of Risk with Appllications to Insurance Demand. In: Cahiers de recherche.
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1991Comparative Statics Under Multiple Sources of Risk with Appllications to Insurance Demand..(1991) In: Cahiers de recherche.
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1992Comparative Statics Under Multiple Sources of Risk with Applications to Insurance Demand.(1992) In: The Geneva Risk and Insurance Review.
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1992Measuring Technical Change and Productivity Growth Varying Output Qualities and Incomplete Panel Data. In: Cahiers de recherche.
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1992Measuring Technical Change and Productivity Growth Varying Output Qualities and Incomplete Panel Data..(1992) In: Cahiers de recherche.
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1992Simple Increases in Risk and Their Comparative Statics for Portfolio Management. In: Cahiers de recherche.
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1992Simple Increases in Risk and Their Comparative Statics for Portfolio Management..(1992) In: Cahiers de recherche.
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1992Rendement dechelle, progres technique et croissance de la productivite dans les industries quebecoises ei ontarienne de transport par camions; 1981-1988. In: Cahiers de recherche.
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1992Rendement dechelle, progres technique et croissance de la productivite dans les industries quebecoises ei ontarienne de transport par camions; 1981-1988..(1992) In: Cahiers de recherche.
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1992Optimal Design of Financial Contracts and Moral Hazard. In: Cahiers de recherche.
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1992Optimal Design of Financial Contracts and Moral Hazard..(1992) In: Cahiers de recherche.
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1995Medical Conditions and the Severity of Commercial Motor Vehicle (CMV) Driverss Road Accidents. In: Cahiers de recherche.
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1995Medical Conditions and the Severity of Commercial Motor Vehicle (CMV) Driverss Road Accidents..(1995) In: Cahiers de recherche.
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1993An Economic Analysis of Insurance Fraud. In: Cahiers de recherche.
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1993Medical Conditions, Risk Exposure and Truck Driverss Accidents: An Analysis with Count Data Regression Models. In: Cahiers de recherche.
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1990Drèzes Essays on Economic Decisions under Uncertainty In: The Geneva Risk and Insurance Review.
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2001Diffidence Theorem, State-Dependent Preferences, and DARA* In: The Geneva Risk and Insurance Review.
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2000A Model for the Detection of Insurance Fraud* In: The Geneva Papers on Risk and Insurance - Issues and Practice.
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2007Bank Capital, Securitization and Credit Risk: an Empirical Evidence In: MPRA Paper.
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1996Progrès technique et croissance de la productivité : estimations sur un panel incomplet de firmes ayant des qualités de production différentes In: Économie et Prévision.
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2020Sécurité routière des flottes et des conducteurs de véhicules lourds In: L'Actualité Economique.
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2020Sécurité routière des flottes et des conducteurs de véhicules lourds.(2020) In: Working Papers.
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2018Real implications of corporate risk management : Review of main results and new evidence from a different methodology In: L'Actualité Economique.
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202050 années de LActualité Économique : Un florilège de ses meilleurs articles In: L'Actualité Economique.
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1983La mobilité des patients et les modèles de création de demande : le cas du Québec In: L'Actualité Economique.
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1987Essays on Economic Decisions Under Uncertainty, par JACQUES H. DRÈZE. — Cambridge University Press, 1987, 424 p. In: L'Actualité Economique.
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1993Rendements d’échelle, progrès technique et croissance de la productivité dans les industries québécoise et ontarienne de transport par camion, 1981-1988 In: L'Actualité Economique.
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2010Credit spread changes within switching regimes In: Working Papers.
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2011On the determinants of the implied default barrier In: Working Papers.
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2009Basket options on heterogeneous underlying assets In: Working Papers.
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2011A theoretical extension of the consumption-based CAPM model In: Working Papers.
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2011Book review of The Theory of Corporate Finance In: Working Papers.
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2016Hidden Markov Regimes in Operational Loss Data: Application to the Recent Financial Crisis In: Working Papers.
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2016The Dynamics of Ex-ante High-Frequency Liquidity: An Empirical Analysis In: Working Papers.
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2015Policy making and climate risk insurability: How can (re)insurers contribute to economic resilience in climate risk events? In: Working Papers.
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2016Can Higher-Order Risks Explain the Credit Spread Puzzle? In: Working Papers.
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2019The Dynamics of Ex-ante Weighted Spread: An Empirical Analysis In: Working Papers.
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2020The dynamics of ex-ante weighted spread: an empirical analysis.(2020) In: Quantitative Finance.
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2017Insurance and Insurance Markets In: Working Papers.
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2017Reinsurance Demand and Liquidity Creation In: Working Papers.
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2018Cyclical variations in liquidity risk of corporate bonds In: Working Papers.
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2018Real implications of corporate risk management: Evidence from U.S. oil producers In: Working Papers.
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2018Machine Learning and Risk Management: SVDD Meets RQE In: Working Papers.
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2019Nonparametric testing for information asymmetry in the mortgage servicing market In: Working Papers.
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2019Information Environments and High Price Impact Trades: Implication for Volatility and Price Efficiency In: Working Papers.
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2019The CDS-bond Basis: Negativity Persistence and Limits to Arbitrage In: Working Papers.
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2021The new international regulation of market risk: Roles of VaR and CVaR in model validation In: Working Papers.
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2021The New International Regulation of Market Risk: Roles of VaR and CVaR in Model Validation.(2021) In: Working Papers.
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2021Hierarchical random effects model for insurance pricing of vehicles belonging to a fleet In: Working Papers.
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2023Hierarchical random?effects model for the insurance pricing of vehicles belonging to a fleet.(2023) In: Journal of Applied Econometrics.
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2021Road safety for fleets of vehicles In: Working Papers.
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2022A re-examination of the U.S. insurance market’s capacity to pay catastrophe losses In: Working Papers.
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2022Forecasting VaR and CVaR based on a skewed exponential power mixture, in compliance with the new market risk regulation In: Working Papers.
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2022Determinants and real effects of joint hedging: An empirical analysis of the US petroleum industry In: Working Papers.
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2022The Profitability of Lead-Lag Arbitrage at High-Frequency In: Working Papers.
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2023Using skewed exponential power mixture for VaR and CVaR forecasts to comply with market risk regulation In: Working Papers.
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2000Corporate insurance with optimal financial contracting In: Economic Theory.
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2000original papers : Full pooling in multi-period contracting with adverse selection and noncommitment In: Review of Economic Design.
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2007Conditions Ensuring the Decomposition of Asset Demand for All Risk-Averse Investors In: The European Journal of Finance.
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2004Public Choice about the Value of a Statistical Life for Cost-Benefit Analyses: The Case of Road Safety In: Journal of Transport Economics and Policy.
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1989An Empirical Analysis of Moral Hazard and Experience Rating. In: The Review of Economics and Statistics.
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2001Deductible Contracts Against Fraudulent Claims: Evidence From Automobile Insurance In: The Review of Economics and Statistics.
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2001Testing for Evidence of Adverse Selection in the Automobile Insurance Market: A Comment In: Journal of Political Economy.
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2013Presidential Address: Default and liquidity regimes in the bond market during the 2002–2012 period In: Canadian Journal of Economics/Revue canadienne d'économique.
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2013Risk Management of Nonstandard Basket Options with Different Underlying Assets In: Journal of Futures Markets.
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