Risk measures and solvency — Special Issue: Guest Editors’ Foreword
On the regulator–insurer interaction in a structural model
Explicit portfolio for unit-linked life insurance contracts with surrender option
Pricing life insurance contracts with early exercise features
A fuzzy adaptive network approach to parameter estimation in cases where independent variables come from an exponential distribution
Risk perceptions and rationality in measures of risk
Deductibles in health insurance
Risk analysis under progressive type II censoring with binomial claim numbers
Multi-stage IT project evaluation: The flexibility value obtained by implementing and resolving Berk, Green and Naik (2004) model
Solvency supervision based on a total balance sheet approach