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There are 15070 results for: content related to: Do U.S. Insurance Firms Offer the “Wrong” Incentives to Their Executives?

  1. The Impact of Introducing Insurance Guaranty Schemes on Pricing and Capital Structure

    Journal of Risk and Insurance

    Volume 80, Issue 2, June 2013, Pages: 273–308, Hato Schmeiser and Joël Wagner

    Version of Record online : 3 JUN 2012, DOI: 10.1111/j.1539-6975.2012.01474.x

  2. Under What Conditions Is an Insurance Guaranty Fund Beneficial for Policyholders?

    Journal of Risk and Insurance

    Volume 79, Issue 3, September 2012, Pages: 785–815, Przemysław Rymaszewski, Hato Schmeiser and Joël Wagner

    Version of Record online : 4 JAN 2012, DOI: 10.1111/j.1539-6975.2011.01444.x

  3. A Reexamination of the Tradeoff between the Future Benefit and Riskiness of R&D Increases

    Journal of Accounting Research

    Volume 46, Issue 1, March 2008, Pages: 27–52, ALLAN EBERHART, WILLIAM MAXWELL and AKHTAR SIDDIQUE

    Version of Record online : 17 DEC 2007, DOI: 10.1111/j.1475-679X.2007.00264.x

  4. How Does the Use of Credit Default Swaps Affect Firm Risk and Value? Evidence from US Life and Property/Casualty Insurance Companies

    Financial Management

    Volume 41, Issue 4, Winter 2012, Pages: 979–1007, Hung-Gay Fung, Min-Ming Wen and Gaiyan Zhang

    Version of Record online : 13 SEP 2012, DOI: 10.1111/j.1755-053X.2012.01203.x

  5. Entrepreneurship and Job-relatedness of Human Capital

    Economica

    Volume 82, Issue 328, October 2015, Pages: 740–768, Atsushi Ohyama

    Version of Record online : 18 MAY 2015, DOI: 10.1111/ecca.12144

  6. What Do We Know About Market Discipline in Insurance?

    Risk Management and Insurance Review

    Volume 15, Issue 2, Fall 2012, Pages: 185–223, Martin Eling

    Version of Record online : 21 SEP 2012, DOI: 10.1111/j.1540-6296.2012.01217.x

  7. On the Economics of Postassessments in Insurance Guaranty Funds: A Stakeholders’ Perspective

    Journal of Risk and Insurance

    Volume 77, Issue 4, December 2010, Pages: 857–892, Gilles Bernier and Ridha M. Mahfoudhi

    Version of Record online : 15 NOV 2010, DOI: 10.1111/j.1539-6975.2010.01367.x

  8. Earnings Smoothing, Executive Compensation, and Corporate Governance: Evidence From the Property–Liability Insurance Industry

    Journal of Risk and Insurance

    Volume 78, Issue 3, September 2011, Pages: 761–790, David L. Eckles, Martin Halek, Enya He, David W. Sommer and Rongrong Zhang

    Version of Record online : 13 MAY 2011, DOI: 10.1111/j.1539-6975.2011.01417.x

  9. Collateral Spread and Financial Development

    The Journal of Finance

    Volume 65, Issue 1, February 2010, Pages: 147–177, JOSÉ M. LIBERTI and ATIF R. MIAN

    Version of Record online : 13 JAN 2010, DOI: 10.1111/j.1540-6261.2009.01526.x

  10. Credit Rating Migration Risk and Business Cycles

    Journal of Business Finance & Accounting

    Volume 39, Issue 1-2, January/February 2012, Pages: 229–263, Fei Fei, Ana-Maria Fuertes and Elena Kalotychou

    Version of Record online : 1 FEB 2012, DOI: 10.1111/j.1468-5957.2011.02272.x

  11. Pension Benefit Security: A Comparison of Solvency Requirements, a Pension Guarantee Fund, and Sponsor Support

    Journal of Risk and Insurance

    Volume 80, Issue 2, June 2013, Pages: 239–272, Dirk Broeders and An Chen

    Version of Record online : 26 APR 2012, DOI: 10.1111/j.1539-6975.2012.01465.x

  12. CEO Bonus Compensation and Bank Default Risk: Evidence from the U.S. and Europe

    Financial Markets, Institutions & Instruments

    Volume 22, Issue 2, May 2013, Pages: 47–89, Francesco Vallascas and Jens Hagendorff

    Version of Record online : 18 APR 2013, DOI: 10.1111/fmii.12004

  13. Does conglomeration really reduce credit risk?

    Accounting & Finance

    Volume 52, Issue 3, September 2012, Pages: 831–848, Gunnar Grass

    Version of Record online : 7 SEP 2012, DOI: 10.1111/j.1467-629X.2012.00501.x

  14. Pay Me Now or Pay Me Later: Alternative Mortgage Products and the Mortgage Crisis

    Real Estate Economics

    Volume 38, Issue 4, Winter 2010, Pages: 687–732, Michael LaCour-Little and Jing Yang

    Version of Record online : 5 OCT 2010, DOI: 10.1111/j.1540-6229.2010.00280.x

  15. Is default risk the hidden factor in momentum returns? Some empirical results

    Accounting & Finance

    Volume 54, Issue 3, September 2014, Pages: 671–698, Isabel Abinzano, Luis Muga and Rafael Santamaria

    Version of Record online : 17 MAY 2013, DOI: 10.1111/acfi.12021

    Corrected by:

    Corrigendum: Corrigendum

    Vol. 56, Issue 3, 913, Version of Record online: 1 SEP 2016

  16. Corporate Governance and Issues From the Insurance Industry

    Journal of Risk and Insurance

    Volume 78, Issue 3, September 2011, Pages: 501–518, Narjess Boubakri

    Version of Record online : 25 JUL 2011, DOI: 10.1111/j.1539-6975.2011.01429.x

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    Activation of MKK9-MPK3/MPK6 enhances phosphate acquisition in Arabidopsis thaliana

    New Phytologist

    Volume 203, Issue 4, September 2014, Pages: 1146–1160, Lei Lei, Yuan Li, Qian Wang, Juan Xu, Yifang Chen, Hailian Yang and Dongtao Ren

    Version of Record online : 28 MAY 2014, DOI: 10.1111/nph.12872

  18. Corporate Governance and Risk Taking: Evidence From the U.K. and German Insurance Markets

    Journal of Risk and Insurance

    Volume 81, Issue 3, September 2014, Pages: 653–682, Martin Eling and Sebastian D. Marek

    Version of Record online : 10 APR 2013, DOI: 10.1111/j.1539-6975.2012.01510.x

  19. Reaching for Yield in the Bond Market

    The Journal of Finance

    Volume 70, Issue 5, October 2015, Pages: 1863–1902, BO BECKER and VICTORIA IVASHINA

    Version of Record online : 3 SEP 2015, DOI: 10.1111/jofi.12199

  20. Effects of Analysts’ Ratings on Insurer Stock Returns: Evidence of Asymmetric Responses

    Journal of Risk and Insurance

    Volume 77, Issue 4, December 2010, Pages: 801–827, Martin Halek and David L. Eckles

    Version of Record online : 15 NOV 2010, DOI: 10.1111/j.1539-6975.2010.01368.x