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NUMBER
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AUTHOR(S)
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TITLE
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| No. 06-1 |
Martin F. Grace,
Robert W. Klein and
Zhiyong Liu
|
Increased
Hurricane Risk and Insurance Market Responses (Journal of Insurance
Regulation; Winter 2005, Vol. 24 Issue 2, p. 3-32) |
| No. 04-3 |
David Richardson and
R. Vaidyanathan
|
Retirement
Plans for the Self-employed in the US: Recent Developments (IIMB
Management Review, September 2004, pp. 93-103) |
| No. 04-2 |
Martin F. Grace,
Robert W. Klein and
Paul R. Kleindorfer
|
Homesowners
Insurance With Bundled Castastrophe Coverage (The Journal of
Risk and Insurance, 2004, Vol. 71, No. 3, 351-379.) |
| No. 04-1 |
J. David Cummins,
David Lalonde and
Richard D. Phillips
|
The basis risk of
catastrophic-loss index securities (Journal of Financial Economics,
Volume 71, Number 1, 2004, 77-111) |
| No. 02-1 |
Conrad S. Ciccotello,
Roger M. Edelen,
Jason T. Greene,
Charles W. Hodges
|
Trading
at Stale Prices with Modern Technology: Policy Options for Mutual
Funds in the Internet Age (Virginia Journal of Law and Technology,
Fall 2002, Vol. 7, Iss. 3) |
| No. 01-6 |
J. David Cummins,
Richard D. Phillips and
Sharon Tennyson
|
Regulation,
Political Influence and the Price of Automobile Insurance (Journal
of Insurance Regulation, 2001, 20:1, 9-50.) |
| No. 01-5 |
J. David Cummins,
Richard D. Phillips and
Mary A. Weiss
|
The Incentive Effects
of No-Fault Automobile Insurance (Journal of Law and Economics,
vol. XLIV, October 2001, 427-464) |
| No. 01-4 |
Robert W. Klein and
Martin F. Grace
|
Urban
Homeowners Insurance Markets in Texas: A Search for Redlining
(The Journal of Risk and Insurance, 2001, Vol. 68, No. 4, 581-614). |
| No. 01-3 |
Harold D. Skipper, Jr.
|
Insurance in the General
Agreement on Trade in Services (American Enterprise Institute,
Washington, DC, 2001). |
| No. 01-2
| Joan Gabel, Nancy
Mansfield, Ellwood Oakley and Tom Lundin, Jr.
| Evolving Conflict
Between Standards for Employment Discrimination Liability and
the Delegatoin of that Liability: Does Employment Practices
Liability Insurance Offer Appropriate Risk Transference? (University
of Pennsylvania Journal of Labor and Employment Law, Volume
4, Number 1, Fall 2001).
|
| No. 01-1
| Nancy R. Mansfield,
Joan T.A. Gabel and Laurie B. Jablow
| Evolving Tension Between
HMO Liability Precedent and Legislation (Tort & Insurance
Law Journal, Volume 36, Number 4, Summer 2001, 949-979).
|
| No. 00-1
| Susan Willey, Donna
Anderson
| Incorporating Economic
Analysis into Undergraduate Business Law and Legal Environment
Courses: Employer Liability for Sexual Harassment as a Model
(The Journal of Legal Studies in Education, Volume 18, Number
2, Summer/Fall 2000, 197-223).
|
| No. 99-1
| J. David Cummins,
Martin F. Grace, and Richard D. Phillips
| Regulatory Solvency
Prediction in Property - Liability Insurance: Risk - Based Capital,
Audit Ratios, and Cash Flow Simulation (The Journal of Risk
and Insurance, 1999, Vol. 66, No. 3, 417-458)
|
| No. 98-3 |
Joan T.A. Gabel, Nancy
R. Mansfield and Robert W. Klein |
The New Relationship Between Injured
Worker and Employer: An Opportunity for Restructuring the System |
| No. 98-2
| Martin F. Grace, Scott
E. Harrington and Robert W. Klein
| Risk-Based Capital and Solvency
Screening in Property-Liability Insurance: Hypotheses
and Empirical Tests (The Journal fo Risk and Insurance, 1998,
Vol. 65, No. 2, 213-243)
|
| No. 98-1
| Robert W. Klein, Detmar
W. Straub, and Martin F. Grace
| Where Cyberspace and
The World of Insurance Converge (Best's Review, February 1998,
89-91)
|
| No. 97-1
| J. David Cummins,
Richard D. Phillips, and Stephen D. Smith
| Corporate Hedging
in the Insurance Indsutry: The Use of FInancial Derviatives
by U.S. Insurers (North American Actuarial Journal, 1997, Vol.
1, No. 1, 13-50)
|
| No. 96-1
| Wook Jean Kwon and
Martin F. Grace
| Examination of Cross
Subsidies in the Workers' Compensation Market (Journal of Insurance
Regulation, 1996, Vol. 15, No. 2, 256-289)
|
| No. 95-1
| Martin F. Grace and
Julie L. Hotchkiss
| External Impacts on
the Property-LIability Insurance Cycle (The Journal of Risk
and Insurance, 1995, Vol. 62, No. 4, 738-754)
|
| No. 94-2
| Deborah J. Chollet
| Employer-Based Health
Insurance in a Changing Work Force (Health Affairs, 1994, 315-326)
|
| No. 94-1
| Martin F. Grace and
Michael J. Rebello
| Financing and the
Demand for Corporate Insurance (The Geneva Papers on Risk and
Insurance Theory, 1993, 18:2, 147-172)
|
| No. 93-2
| A.N. Berger,
W.C. Hunter and
S.G. Timme
| The efficiency
of financial institutions: a review and preview of research
past, present and future (Trends in Health Benefits, 1993, 1-13)
|
| No. 93-1
| Lisa A. Gardner and
Martin F. Grace
| X-Efficiency in the
US life insurance industry (Journal of Banking and Finance,
1993, 17, 497-410)
|
| No. 92-6
| Deborah J. Chollet
| Building a Private-Public
Partnership That Works (Inquiry, 1992, 29, 116-119)
|
| No. 92-5
| Paul Kazenski, William
R. Feldhaus, and Howard Schneider
| Alternative Loss Management
Horizons and the Measurement of Reserve Errors: Empirical Evidence
(The Journal of Risk and Insurance, 1992, Vol. LIX, No. 4, 668-681)
|
| No. 92-4
| Harold D. Skipper,
Jr. and
Lisa A. Gardner
| An Examination of
U.S. Regulation and Taxation vis-a-vis Selected GATT Principles
(The Geneva Papers on Risk and Insurance, 1992, 17, No. 63,
215-231)
|
| No. 92-3
| Martin F. Grace and
Stephen G. Timme
| An Examination of
Cost Economics in the United States Life Insurance Industry
(The Journal of Risk and Insurance, 1992, 72-103)
|
| No. 92-2
| Kwangbong Lee, Bruce
A. Palmer and Harold D. Skipper, Jr.
| An Analysis of Life
Insurer Retention Limits (The Journal of Risk and Insurance,
1992, 57-71)
|
| No. 92-1
| Deborah J. Chollet
| Health Care Financing
in Selected Industrialized Nations: Comparative Analysis and
Comment
|
| No. 91-2
| Deborah J. Chollet
| Employee Health Benefit
Plans: A Decade of Change (Journal of Insurance Medicine, 1991,
Vol. 23, No. 3, 159-162)
|
| No. 91-1
| Harold D. Skipper,
Jr.
| Why U.S. Life Insurers
Should Expand Internationally (Journal of the American Society
of CLU & ChFC, 1991, 46-49)
|
| No. 90-2
| Harold D. Skipper,
Jr. and
Martin F. Grace
| The Illinois Discriminatory
Premium Tax: Time for Repeal? (Southern Illinois University
Law Journal, 1990, Vol. 14, 345-399)
|
| No. 90-1
| Martin F. Grace and
Jean M. Mitchell
| Regulation of Health
Care Costs: The Implications of the Prospective Payment Reimbursement
System (Journal of Law & Public Policy, 1998-1999, Vol.
2, 125-135)
|
| No. 89-3
| Bruce A. Palmer
| Tax Reform and Retirement
Income Replacement Ratios (The Journal of Risk and Insurance,
1989, Vol. LVI, No. 4, 702-725)
|
| No. 89-2
| S.G. Badrinath, Gerald
D. Gay and
Jayant R. Kale
| Patterns of Institutional
Investment, Prudence, and the Managerial "Safety-Net"
Hypothesis (The Journal of Risk and Insurance, 1989, Vol. LVI,
No. 4, 605-629)
|
| No. 89-1
| I-soo Joe, Doocheol
Kim and Harold D. Skipper, Jr.
| The Korean Life Insurance
Market (Journal of the American Society of CLU & ChFC, 1989,
Vol. XLIII, 62-69)
|
| No. 88-5
| Harold D. Skipper,
Jr.
| The AIDS Testing Issue
(Journal of Insurance Regulation, 1998, Vol. 6, No. 4, 475-486)
|
| No. 88-4
| David J. Nye, Donald
G. Gifford,
Bernard L. Webb and
Marvin A. Dewar
| The Causes of the
Medical Malpractice Crises: An Analysis of Claims Data and Insurance
Company Finances (The Georgetown Law Journal, 1988, Vol 76,
1495-1553)
|
| No. 88-3
| Harold D. Skipper,
Jr.
| Captive Use in Developing
Countries -- Boom or Bust? (Risk Management, 1988,Vol. 35, No.
2, 18-24)
|
| No. 88-2
| Harold D. Skipper,
Jr. and
Kenneth Black, Jr.
| A Dynamic Approach
to Life Insurance Planning (Journal of the Institute of Certified
Financial Planner, 1988, Vol. 8 No. 4, 247-264)
|
| No. 88-1
| Harold D. Skipper,
Jr. and
Kenneth Black, Jr.
| Life Insurance Evaluation
for Personal Financial Planning (The CPA Journal, 1988, Vol.
LVIII, No. 1, 54-62)
|
| No. 87-6
| Harold D. Skipper,
Jr.
| State
Taxation of Insurance Companies: Time for a Change (Journal
of Insurance Regulation, 1987, Vol 6, 121-142)
|
| No. 87-5
| Kenneth Black, Jr.
and
Kenneth Black, III
| Insurable Interest
and Key-Man Life Insurance Benefits (The CPA Journal, 1987,
Vol. LVII, 46-55)
|
| No. 87-4
| Harold D. Skipper,
Jr.
| Promoting Risk Management
in Developing Countries (Risk Management, 1987, Vol. 34, No.
6, 18-24)
|
| No. 87-3
| Yosup Chung and
Harold D. Skipper, Jr.
| The Effect of Interest
Rates on Surrender Values of Universal Life Policies (Journal
of Risk and Insurance, 1987, Vol. LIV, 341-348)
|
| No. 87-2
| Eric P. Hein and William
R. Feldhaus
| Assessing Insurer
Insolvency: An In-House Method (Risk Management, 1987, Vol.
34, No. 5, 18-32)
|
| No. 87-1
| Harold D. Skipper,
Jr.
| Protectionism in the
Provision of International Insurance (Journal of Risk and Insurance,
1987, Vol. LIV, 55-85)
|
| No.
86-1
| John W. Hall
| The Crisis
in the Tort Law/Liability System (Journal of Insurance Regulation,
1986, Vol. 5, 277-292)
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