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  • Search: isPartOf:"Insurance: Mathematics and Economics"
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Year of publication
Subject
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Theorie 53 Theory 53 Risk 34 Risiko 31 Portfolio selection 25 Risk measure 25 Risk management 21 Portfolio-Management 20 Risikomaß 20 Risk model 20 Longevity risk 18 Risikomodell 18 Ruin probability 17 Life insurance 16 Risikomanagement 16 Risk measures 16 Stochastic process 16 Stochastischer Prozess 16 Copula 15 Mortality 15 Insurance 14 Measurement 14 Messung 14 Reinsurance 14 Comonotonicity 12 Sterblichkeit 12 Value-at-Risk 12 Dependence 11 Optimal reinsurance 11 Capital allocation 10 Hamilton–Jacobi–Bellman equation 10 IM10 10 Lebensversicherung 10 Correlation 9 HJB equation 9 Lévy process 9 Private Altersvorsorge 9 Private retirement provision 9 Regime switching 9 Value at risk 9
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Online availability
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Undetermined 2,036 Free 39
Type of publication
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Article 3,878 Book / Working Paper 13
Type of publication (narrower categories)
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Article in journal 75 Aufsatz in Zeitschrift 75
Language
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Undetermined 3,807 English 84
Author
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Haberman, Steven 52 Willmot, Gordon E. 49 Young, Virginia R. 49 Gerber, Hans U. 48 Denuit, Michel 46 Dhaene, Jan 41 Goovaerts, M. J. 41 Haberman, S. 41 Yang, Hailiang 40 Cheung, Ka Chun 38 Kaas, R. 34 De Vylder, F. 30 Landriault, David 29 Tang, Qihe 29 Goovaerts, Marc J. 28 Kaas, Rob 28 Siu, Tak Kuen 28 Goovaerts, M. 26 Hu, Taizhong 26 Dhaene, J. 25 Goovaerts, Marc 25 Landsman, Zinoviy 25 Sherris, Michael 25 Cai, Jun 24 Laeven, Roger J.A. 24 Cossette, Hélène 23 Marceau, Etienne 23 Albrecher, Hansjörg 22 Guillén, Montserrat 22 Frostig, Esther 21 Jones, Bruce L. 21 Wang, Guojing 21 De Waegenaere, Anja 20 Hashorva, Enkelejd 20 Valdez, Emiliano A. 20 Li, Zhongfei 19 Liang, Zongxia 19 Shapiro, Arnold F. 19 Blake, David 18 Cairns, Andrew J.G. 18
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Published in...
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Insurance: Mathematics and Economics 1,995 Insurance / Mathematics & economics 1,815 Insurance : mathematics and economics 75 Insurance: Mathematics and Economics, Forthcoming 3 Insurance: Mathematics and Economics, 2009 1 Insurance: Mathematics and Economics, S. 215-228, 2000 1 Internationale Aktuarvereinigung - Veröffentlichungen 1 The final version of this article appeared as: Tsanakas A. (2004), ''Dynamic risk capital allocation with distortion measures'', Insurance: Mathematics and Economics, 35(2), p.223-243 1 Universität Karlsruhe - Lehrstuhl für Versicherungswissenschaft - Publikationen 1
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Source
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RePEc 1,988 OLC EcoSci 1,815 ECONIS (ZBW) 86 USB Cologne (business full texts) 2
Showing 3,481 - 3,490 of 3,891
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A stop-loss experience rating scheme for fleets of cars, Part II
Szynal, D.; Teugels, J.L. - In: Insurance / Mathematics & economics 13 (1993) 3, pp. 255-262
Persistent link: https://www.econbiz.de/10006952813
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How to (and how not to) compute stop-loss premiums in practice
Kaas, R. - In: Insurance / Mathematics & economics 13 (1993) 3, pp. 241-254
Persistent link: https://www.econbiz.de/10006952814
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Insurance: Abstracts and Reviews
In: Insurance / Mathematics & economics 13 (1993) 2, pp. 141
Persistent link: https://www.econbiz.de/10006952815
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The actuarial treatment of the disability risk in Germany, Austria and Switzerland
Segerer, G. - In: Insurance / Mathematics & economics 13 (1993) 2, pp. 131-140
Persistent link: https://www.econbiz.de/10006952816
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Permanent health insurances: Overviews and market conditions in the UK
Mackay, G. - In: Insurance / Mathematics & economics 13 (1993) 2, pp. 123-130
Persistent link: https://www.econbiz.de/10006952817
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Summary of talk on 'Work of the CMI PHI Sub-Committee'
Hertzman, E. - In: Insurance / Mathematics & economics 13 (1993) 2, pp. 117-122
Persistent link: https://www.econbiz.de/10006952818
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Disability insurance in The Netherlands
Gregorius, F.K. - In: Insurance / Mathematics & economics 13 (1993) 2, pp. 101-116
Persistent link: https://www.econbiz.de/10006952819
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Editorial
In: Insurance / Mathematics & economics 13 (1993) 2, pp. 99-100
Persistent link: https://www.econbiz.de/10006952820
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Extensions of Ohlin's lemma with applications to optimal reinsurance structures
Hesselager, O. - In: Insurance / Mathematics & economics 13 (1993) 1, pp. 83
Persistent link: https://www.econbiz.de/10006952821
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A semi-parametric estimator of a risk distribution
Carriere, J. - In: Insurance / Mathematics & economics 13 (1993) 1, pp. 75-82
Persistent link: https://www.econbiz.de/10006952822
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