Pages that link to "Item:Q1904990"
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The following pages link to A theory of risk, return and solvency (Q1904990):
Displaying 9 items.
- Optimal life-insurance selection and purchase within a market of several life-insurance providers (Q282285) (← links)
- Minimum standards for investment performance: a new perspective on non-life insurer solvency (Q659102) (← links)
- On the regulator-insurer interaction in a structural model (Q732093) (← links)
- Insurance provision under a solvency requirement (Q902596) (← links)
- On the tradeoff between the law of large numbers and oligopoly in insurance (Q1277808) (← links)
- Evaluating solvency versus efficiency performance and different forms of organization and marketing in US property -- liability insurance companies. (Q1420487) (← links)
- Insurance market games: Scale effects and public policy (Q1601303) (← links)
- Insurance demand and welfare-maximizing risk capital -- some hints for the regulator in the case of exponential preferences and exponential claims (Q2015622) (← links)
- Risk-return analysis. Vol. I. The theory and practice of rational investing. With contributions by Kenneth A. Blay, Anthony Tessitore, Ansel Tessitore and Nilfur Usmen. With a foreword by Stephen A. Batman (Q2789192) (← links)