Risk Management and Insurance Review

Cover image for Vol. 18 Issue 1

Edited By: Patricia Born & Gene Lai

Online ISSN: 1540-6296

Associated Title(s): Journal of Risk and Insurance

Best Article Awards


Each year Risk Management and Insurance Review presents two awards for Best Feature Article and Best Perspectives Article published in the previous volume. Recent winners include:

Best Feature Article

2013: Comparing Costs and Risks of Retirement Plans for Sponsors by Gaobo Pang and Mark Warshawsky, V.16 No 2, pp 195-217

2012: The Impact of Rate Regulation on Claims Evidence from Massachusetts Automobile Insurance by Richard Derrig and Sharon Tennyson, V. 14 No. 2, pp. 173-199

2011: First-Party versus Third-Party Compensation for Automobile Accidents: Evidence from Canada by Mary Kelly, Anne Kleffner and Maureen Tomlinson, Vol. 13, No. 1, pp. 21-44

2010: Do State Cost Control Policies Reduce Medicaid Prescription Drug Spending? by Kosali Simon, Sharon Tennyson and Julie Hudman, Vol 12, No. 1, pp. 39-66

2009: Intangible Assets and Firm Asset Risk Taking: An Analysis of Property and Liability Insurance Firms by Tong Yu, Bingxuan Lin, Henry Oppenheimer, Xuanjuan Chen, Vol. 11, No. 1, pp. 157-178

2008: Unfair Discrimination and Homeowners Insurance Availability: An Empirical Analysis by Laureen Regan, Vol 10, No. 1, pp. 13-31

2007: Opaqueness in the Insurance Industry: Why Are Some Insurers Harder to Evaluate Than Others by Steven Pottier and David Sommer, Vol. 9, No. 2, pp. 149-163

2006: Regulating Genetic Information in Insurance Markets" by Michael Hoy and Michael Ruse , Vol. 8, No. 2, pp. 211-237

2005: New Risk-Based Capital Standards in the European Union: A Proposal Based on Empirical Data" by Hato Schmeiser, Vol. 7, No. 1, pp. 41-52


Best Perspectives Article

2012: The Use of Postloss Financing of Catastrophic Risk by Cassandra Cole, David Macpherson, Patrick Maroney, James Newman, Jr. and Charles Nyce, V. 14 No. 2, pp. 265-298

2011: The Secondary Market for Life Insurance in the United Kingdom, Germany and the United States by Nadine Gatzert, Vol. 13, No. 2, pp. 279-301

2010: The Perfect Storm: Hurricanes, Insurance, and Regulation by Martin F. Grace and Robert W. Klein, Vol 12, No. , pp. 81-124

2008: The Solvency II Process: Overview and Critical Analysis by Martin Eling, Hato Schmeiser, and Joan Schmit, Vol. 10, No.1, pp. 69-85

2007: An Examination of Alternative Approaches to Risk Management and Insurance Research By Mark Dorfman and Steven Tippins, Vol. 9, No. 1, Pp. 63-74

2006: Weather Derivatives and Weather Risk Management by Patrick Brockett, Mulong Wang, and Chuanhou Yang, Vol. 8, No.1, pp. 127-140

2005: Exposure Triggers and Allocation Methods: Learning Lessons from Prior Court Rulings by Charles McGuire, Kathleen McCullough, and George Flanigan , Vol. 7, No. 1, pp. 73-87

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