No. 80-2, June 2013
Index
- Accuracy of Premium Calculation Models for CAT Bonds—An Empirical Analysis
- Capital Market Development, Competition, Property Rights, and the Value of Insurer Product‐Line Diversification: A Cross‐Country Analysis
- Deciding Whether to Invest in Mitigation Measures: Evidence From Florida
- Derivatives Clearing, Default Risk, and Insurance
- Intermediation and (Mis‐)Matching in Insurance Markets—Who Should Pay the Insurance Broker?
- Pension Benefit Security: A Comparison of Solvency Requirements, a Pension Guarantee Fund, and Sponsor Support
- Pension Portfolio Choice and Peer Envy
- Retirement Income: Risks and Strategies, by Mark Warshawsky
- Systemic Weather Risk and Crop Insurance: The Case of China
- The Impact of Introducing Insurance Guaranty Schemes on Pricing and Capital Structure