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Insurance and Financial Risk Management

TopicLeading institutions, researchers & key papers

This cluster of papers explores the economic implications of insurance market dynamics, including the relationship between insurance and economic growth, risk management strategies, catastrophe bonds, market efficiency, reinsurance practices, financial performance of insurance companies, regulatory impact, and capital allocation.

13
Works

How has Insurance and Financial Risk Management's publication output changed over time?

ScholarIQpublication output · 1996–2020

Output grew0% over the shown period — from 1 works in 1996 to 1 in 2020.

1
1
1
1
1
19962006201120142020

What are the most-cited papers on Insurance and Financial Risk Management?

ScholarIQmost cited works
Productivity and Technical Efficiency in the Italian Insurance Industry
John Cummins, Giuseppe Turchetti
S4306401271. 199686 Citations
<scp>An Empirical Examination of Stakeholder Groups as Monitoring Sources in Corporate Governance</scp>
Cassandra R. Cole, Enya He, Kathleen A. McCullough, Anastasia Semykina, David W. Sommer
S116483603. 201145 Citations
On univariate extreme value statistics and the estimation of reinsurance premiums
Björn Vandewalle, Jan Beirlant
S198325475. 200642 Citations
Some problems in determining the free risk rate of return
Iosr Journals, Diana Boskovska
S4377196282. 20140 CitationsOPEN ACCESS

Where is Insurance and Financial Risk Management research published, and who funds it?

ScholarIQvenues & funding sources

TOP JOURNALS

S430640127186
S11648360345
S19832547542
S43771962820

TOP FUNDERS

National Science Foundation
NIH
Wellcome Trust
European Research Council
Funder breakdown is a member featureSign up free to unlock

How much of the research on Insurance and Financial Risk Management is open access?

ScholarIQopen access share
40%OPEN ACCESS
Gold
20%
Green
20%
Hybrid
0%
Bronze
0%
Closed
60%

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Productivity and Technical Efficiency in the Italian Insurance Industry
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<scp>An Empirical Examination of Stakeholder Groups as Monitoring Sources in Corporate Governance</scp>
Paper
On univariate extreme value statistics and the estimation of reinsurance premiums
Paper
Chief financial officer roles and enterprise risk management: An empirical based study
Paper
Shadow banking, macroprudential policy, and bank stability: Evidence from China’s wealth management product market
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470M+ articles · free account