Emerald Login
   

Welcome guest



The Journal of Risk Finance
Browse
User Guides
Online Access
Journal Information

The Journal of Risk Finance


Volume 6 Issue 2

Published: 2005 | Start Page: 87

Icon Key:   Icon: Requires login or subscription. Requires login or subscription   Icon: Backfiles. Backfiles   Icon: EarlyCite. EarlyCite

Articles

Articles
Article No: Article Information:
1465162 The use of derivatives by US insurers: Empirical evidence and regulatory issues
Mayank Raturi (pp. 87-97)
Keywords: Accounting, Derivative markets, Insurance companies, Regulation, Risk management, United States of America
ArticleType: Research paper
Icon: Requires login or subscription. View HTML | View PDF (77 KB) | Reprints & Permissions
1465163 Diffusion models of insurer net worth: can one dimension suffice?
Jiandong Ren (pp. 98-117)
Keywords: Insurance, Modelling, Net worth, Transfer processes
ArticleType: Research paper
Icon: Requires login or subscription. View HTML | View PDF (270 KB) | Reprints & Permissions
1465164 Coping with credit risk
Henri Loubergé, Harris Schlesinger (pp. 118-134)
Keywords: Banking, Capital markets, Contracts, Credit rating, Risk analysis
ArticleType: Research paper
Icon: Requires login or subscription. View HTML | View PDF (140 KB) | Reprints & Permissions
1465165 Asset and liability management in financial crisis
Arzu Tektas, E. Nur Ozkan-Gunay, Gokhan Gunay (pp. 135-149)
Keywords: Assets management, Banking, Financial management, Liability, Turkey
ArticleType: Case study
Icon: Requires login or subscription. View HTML | View PDF (105 KB) | Reprints & Permissions
1465166 Towards multi-factor models of decision making and risk: A critique of Prospect Theory and related approaches, part I
Michael Nwogugu (pp. 150-162)
Keywords: Artificial intelligence, Complexity theory, Decision making, Psychology, Risk management
ArticleType: Conceptual paper
Icon: Requires login or subscription. View HTML | View PDF (87 KB) | Reprints & Permissions
1465167 Towards multi-factor models of decision making and risk: A critique of Prospect Theory and related approaches, part II
Michael Nwogugu (pp. 163-173)
Keywords: Artificial intelligence, Complexity theory, Decision making, Psychology, Risk management
ArticleType: Conceptual paper
Icon: Requires login or subscription. View HTML | View PDF (86 KB) | Reprints & Permissions

Editorial

Editorial
Item No: Item Information
1501474 Editorial
Journal: The Journal of Risk Finance
Vol : 6 Issue: 2
Author(s): Michael R. Powers
Icon: Requires login or subscription View HTML

The Chris Gentle column

The struggle for growth
Item No: Item Information
1501475 The struggle for growth
Journal: The Journal of Risk Finance
Vol : 6 Issue: 2
Author(s): Chris Gentle
Icon: Requires login or subscription View HTML

The Michael Mainelli column

The (mis)behavior of risk managers: recognizing our limitations
Item No: Item Information
1501476 The (mis)behavior of risk managers: recognizing our limitations
Journal: The Journal of Risk Finance
Vol : 6 Issue: 2
Author(s): Michael Mainelli
Icon: Requires login or subscription View HTML

The Matthew Leitch column

"Uncertainty": "risk" without the attitude
Item No: Item Information
1501477 "Uncertainty": "risk" without the attitude
Journal: The Journal of Risk Finance
Vol : 6 Issue: 2
Author(s): Matthew Leitch
Icon: Requires login or subscription View HTML