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  • Search: isPartOf:"Universität St.Gallen - Institut für Versicherungswirtschaft - Working Papers"
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Year of publication
Subject
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Versicherungsmarkt 14 Lebensversicherung 13 Versicherung 13 Hedge Fund 10 Rendite 8 Risikoanalyse 7 Bonität 6 validity 6 Risikomanagement 5 risk management 5 Versicherungsbetrieb 4 operating expenses for underwriting business 4 Finanzanalyse 3 Versicherungsvertrag 3 insurance contract 3 Anlagepolitk 2 Ausfallrisiko 2 Deutschland / Investmentmodernisierungsgesetz 2 Financial Services 2 Finanzdienstleistung 2 Investmentfonds 2 Kapitalallokation 2 Kapitalanlage 2 Kundenwert 2 Performanztest 2 Regulation 2 Rentenversicherung 2 Risikomessung 2 Risikoprämie 2 Vertrag 2 investment Policy 2 regulation 2 virtual risk adjusted capital 2 Aktienmarkt 1 Arbitrage 1 Auswertung 1 Autokorrelation 1 Automobile Insurance 1 Besteuerung 1 Bias 1
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Online availability
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Free 55
Type of publication
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Book / Working Paper 60
Language
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English 43 German 17
Author
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Eling, Martin 27 Schmeiser, Hato 22 Gatzert, Nadine 16 Parnitzke, Thomas 7 Hoermann, Gudrun 4 Graf, Albert 3 Gründl, Helmut 3 Maas, Peter 3 Russ, Jochen 3 Schuhmacher, Frank 3 Toplek, Denis 3 Holzmüller, Ines 2 Kling, Alexander 2 Luhnen, Michael 2 Post, Thomas 2 Schmit, Joan T. 2 Schuckmann, Stefan 2 Bontschev, Georgi 1 Kassberger, Stefan 1 Osetrova, Anna 1 Schmeise, Hato 1
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Institution
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Institut für Versicherungswirtschaft <Sankt Gallen> 58 Institut für Versicherungswirtschaft <St. Gallen> 2
Published in...
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Universität St.Gallen - Institut für Versicherungswirtschaft - Working Papers 59 WORKING PAPERS ON RISK MANAGEMENT AND INSURANCE 52 Working Paper 5 Universität St.Gallen - Institut für Versicherungswirtschaft - Working Papers 2005 1 Working Paper No. 47 (2008)WORKING PAPERS ON RISK MANAGEMENT AND INSURANCE 1 Working Paper on Risk Management and Insurance 1 Working Papers on Risk Management and Insurance 1
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Source
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USB Cologne (business full texts) 60
Showing 1 - 10 of 60
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An Overview and Comparison of Risk-Based Capital Standards
Eling, Martin; Holzmüller, Ines - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
This article provides an overview and comparison of risk-based capital (RBC) requirements as they currently exist in the United States, the European Union, Switzerland, and New Zealand. These four systems are representative of different ways capital standards are implemented around the globe....
Persistent link: https://www.econbiz.de/10005861358
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Frontier Efficiency Methodologies to Measure Performance in the Insurance Industry : Overview and new Empirical Evidence
Eling, Martin; Luhnen, Michael - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
The purpose of this paper is to provide an overview and new empirical evidence on frontier effi-ciency measurement in the insurance industry, a topic of great interest in the academic literature during the last several years. In the first step, we review 87 studies and put them into a joint...
Persistent link: https://www.econbiz.de/10005861366
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A Discussion of the Risk Assessment Methods for the German Automobile Insurance Industry
Parnitzke, Thomas - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
The aim of this paper is to discuss different methods for risk assessment in theGerman automobile industry. We present the traditional approach for classifyingrisks, which is actually applied in the German market, and discuss one crucial difficulty inherent to this approach for proper risk...
Persistent link: https://www.econbiz.de/10005861402
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The Impact of the Secondary Market on Life Insurers' Surrender Profits
Gatzert, Nadine; Hoermann, Gudrun; Schmeiser, Hato - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
Life insurers often claim that the life settlement industry reduces theirsurrender profits and leads to an adverse shift in their portfolio of insuredrisks, i.e., bad risks remain in the portfolio instead of surrendering.In this paper, we aim to quantify the effect of altered...
Persistent link: https://www.econbiz.de/10005861403
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The Swiss Solvency Test and its Market Implications
Eling, Martin; Gatzert, Nadine; Schmeiser, Hato - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
In this paper, we first discuss the characteristics and major benefits of the Swissrisk-based capital standards for insurance companies (Swiss Solvency Test), introduced in 2006. As the insurance industry is one of the largest institutional investors in Switzerland, changes to its asset and...
Persistent link: https://www.econbiz.de/10005861404
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Customer Value from a Customer Perspective : A Comprehensive Review
Graf, Albert; Maas, Peter - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
The value concept is one of marketing theory’s basic elements. Identifying andcreating customer value (CV) - understood as value for customers - is regarded asan essential prerequisite for future company success. Nevertheless, not until quiterecently has CV received much research attention....
Persistent link: https://www.econbiz.de/10005861405
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Enhanced Annuities and the Impact of Individual Underwriting on an Insurer’s Profit Situation
Hoermann, Gudrun; Russ, Jochen - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
We analyze the effect of enhanced annuities on an insurer engaging in individualunderwriting. We use a frailty model for the heterogeneity of the insured populationand model the individual underwriting by a random variable that positivelycorrelates with the corresponding frailty factor. For a...
Persistent link: https://www.econbiz.de/10005861406
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The Effect of Capital and Risk Transfer Instruments in Financial Groups
Gatzert, Nadine; Schmeiser, Hato - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
The aim of this paper is to examine the impact of capital and risk transfer instruments on diversification and insolvency risk in a parent-subsidiary relationship. To better assess the effects, we compare this setting to the case of a holding company and an integrated financial group. In the...
Persistent link: https://www.econbiz.de/10005861407
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Performance Measurement in the Investment Industry
Eling, Martin - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
It is frequently noted that investment funds with a nonnormal return distributioncannot be adequately evaluated using the classic Sharpe ratio. However, recent research compared the Sharpe ratio with other performance measures and found virtually identical rank ordering using hedge fund data. We...
Persistent link: https://www.econbiz.de/10005861465
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Wo investieren Distressed-Securities-Hedgefonds? Ein Asset-Based Style-Faktorenmodell
Bontschev, Georgi; Eling, Martin - Institut für Versicherungswirtschaft <Sankt Gallen> - 2008
In dieser Arbeit werden die systematischen Risiken von Distressed-Securities-Hedgefonds untersucht. Es finden sich vier Faktoren, die das systematische Risiko dieser Strategiegruppe weitgehend erklären: Das sind die Renditen zweier Optionsstrategien, (1.) einer Short-Put-Positionen auf einen...
Persistent link: https://www.econbiz.de/10005861468
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