Handbook of Insurance: Volume II
暫譯: 保險手冊:第二卷

Dionne, Georges

  • 出版商: Springer
  • 出版日期: 2025-03-02
  • 售價: $8,810
  • 貴賓價: 9.5$8,370
  • 語言: 英文
  • 頁數: 690
  • 裝訂: Hardcover - also called cloth, retail trade, or trade
  • ISBN: 3031696735
  • ISBN-13: 9783031696732
  • 相關分類: 商業管理類
  • 海外代購書籍(需單獨結帳)

相關主題

商品描述

The Handbook of Insurance reviews the last fifty years of research developments in insurance economics and its related fields. A single reference source for professors, researchers, graduate students, regulators, consultants, and practitioners, the book starts with the history and foundations of risk and insurance theory, followed by a review of prevention and precaution, asymmetric information, insurance fraud, risk management, insurance pricing, new financial innovations, reinsurance, corporate governance, capital allocation, securitization, systemic risk, insurance regulation, the industrial organization of insurance markets, and other insurance market applications. The new edition covers many topics that have risen in importance since the 2nd edition, such as climate risk, pandemic risk, insurtech, digital insurance, cyber risk, behavioral economics, Solvency II, corporate governance, enterprise risk management, and machine learning.

This edition of the Handbook contains 20 new chapters. Each of the chapters is written by leading international authorities in risk and insurance research. All contributions are peer reviewed, and each chapter can be read independently of the others.

It is a tour de force to provide to the insurance industry and its stakeholders a structured, complete, intelligent and critical synthesis of insurance economics in the twenty-first century. This is what you have in your hands. This third edition of the Handbook of Insurance should be the bible to anyone who wants to have a deep understanding of the complex challenges faced by insurance and reinsurance markets to create the large social value of risk sharing and risk diversification.

Christian Gollier, Director of the Toulouse School of Economics

This collective work not only offers a remarkable synthesis of cutting-edge research in insurance economics but also provides a rare resource, both comprehensive and authoritative, for professionals seeking a deeper understanding of insurance industry fundamentals and emerging trends. The content of the Handbook reflects the richness and dynamics of the field and underlines the many facets involved in better understanding how insurance works and contributes to society.

Kai-Uwe Schanz, Deputy Managing Director, Head of Research & Foresight, The Geneva Association

商品描述(中文翻譯)

《保險手冊》回顧了過去五十年在保險經濟學及其相關領域的研究發展。這本書是教授、研究人員、研究生、監管機構、顧問和實務工作者的單一參考來源,內容從風險與保險理論的歷史和基礎開始,接著回顧預防與謹慎、非對稱資訊、保險詐欺、風險管理、保險定價、新的金融創新、再保險、公司治理、資本配置、證券化、系統性風險、保險監管、保險市場的產業組織及其他保險市場應用。新版本涵蓋了自第二版以來重要性上升的許多主題,例如氣候風險、疫情風險、保險科技、數位保險、網路風險、行為經濟學、償付能力 II、公司治理、企業風險管理和機器學習。

本版《保險手冊》包含20個新章節。每個章節均由風險與保險研究領域的國際權威撰寫。所有貢獻均經過同行評審,每個章節可以獨立於其他章節閱讀。

這是一部為保險業及其利益相關者提供結構化、完整、智能且批判性綜合的二十一世紀保險經濟學的力作。這就是您手中所擁有的。本書的第三版應該成為任何希望深入了解保險和再保險市場所面臨的複雜挑戰,以創造風險共享和風險多樣化的巨大社會價值的人的聖經。

克里斯蒂安·戈利耶,圖盧茲經濟學院院長

這部集體著作不僅提供了保險經濟學前沿研究的卓越綜合,還為尋求深入了解保險行業基本原則和新興趨勢的專業人士提供了一個罕見的資源,既全面又權威。《保險手冊》的內容反映了該領域的豐富性和動態性,並強調了更好理解保險如何運作及其對社會貢獻的多個面向。

凱-尤維·尚茲,日內瓦協會副執行董事、研究與前瞻部門負責人

作者簡介

Georges Dionne is Full professor of Finance and holds the Canada Research Chair in Risk Management at HEC Montréal. He has published extensively: He has published seven books on insurance and risk management and more than 180 articles in academic journals. He has been the Editor of the Journal of Risk and Insurance, and is a member of the scientific committee of seven journals. He has supervised more than 35 Ph.D. theses and more than 100 research activities at the Master level (thesis and projects). He became Fellow of the Canadian Economics Association in 2019 and has received numerous awards for his research and teaching including the John S. Bickley Founders Award of the International Insurance Society in 2016.

作者簡介(中文翻譯)

喬治·迪翁(Georges Dionne)是蒙特利爾高等商業學院(HEC Montréal)金融學的全職教授,並擔任加拿大風險管理研究主席。他在保險和風險管理領域發表了大量著作:出版了七本書籍以及超過180篇學術期刊文章。他曾擔任《風險與保險期刊》(Journal of Risk and Insurance)的編輯,並且是七本期刊的科學委員會成員。他指導了超過35篇博士論文和超過100項碩士級別的研究活動(論文和專案)。他於2019年成為加拿大經濟學會的會士,並因其研究和教學獲得多項獎項,包括2016年國際保險學會的約翰·S·比克利創始人獎(John S. Bickley Founders Award)。

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