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Journal of Insurance Issues
Table of Contents

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| 2010 | 2009 | 2008 | 2007 |2006  | 2005  | 2004  |  2003  |  2002  |  2001  |  2000  |  1999  |  1998  |  1997  |  1996  |  1995 | 1994  |  1993  |  1992  |  1991  |  1990 | 1989  |  1988  |  1987  |  1986  |  1985 | 1984  |  1983  |  1982  | 1980 | 1979

Spring 2010

Feature Articles

  1. "The Determinants and Potential Effects of Life Insurer Mortgage Backed Securities Exposure", Andre P. Liebenberg, L. Lee Colquitt, and Harris Hollans, Volume 33, pp 1-30. Abstract
  2. "A Comparison of Hurricane Loss Models", Cassandra R. Cole, David A. Macpherson,
    and Kathleen A. McCullough, Volume 33, pp 31-53. Abstract
  3. "The Impact of the 2003 Regulatory Reform in the Canadian Property/Casualty Insurance Industry on Insurers’ Surplus Levels", Peter Carayannopoulos, Mary Kelly, and Si Li, Spring 2010, Volume 33, pp 54-84. Abstract
  4. "The Impact of the September 11 Terrorist Attack on the Global Insurance Markets: Evidence from the Japanese Property-Casualty Insurance Industry", Noriyoshi Yanase and Yukihiro Yasuda, Volume 33, pp 85-107. Abstract

Fall 2009

Feature Articles

  1. "Market Efficiency and Cointegration: A Post-demutualization Analysis of Canadian Life Insurance Stocks", Gilles Bernier and Chaouki Mouelhi, Volume 32, pp 107-132.. Abstract
  2. "On Monopoly Insurance Pricing when Agents Differ in Risk Aversion", Annette Hofmann, Martin Nell, and Philipp Pohl, Volume 32, pp 133-153. Abstract
  3. "Group Long-Term Disability Insurance Claims and the Business Cycle", Annette Hofmann, Martin Nell, and Philipp Pohl, Volume 32, pp 154-172. . Abstract

Spring 2009

Feature Articles

  1. "Securitization of Catastrophe Risk: New Developments in Insurance- Linked Securities and Derivatives, Volume 32, Sylvie Bouriaux and Richard MacMinn, pp 1-34. Abstract
  2. "Retirement Facilitators: Policy Considerations for Increasing the Role of the States in Assisting with Retirement Savings," Geralyn M. Miller, Volume 32, pp 35-51. Abstract
  3. "An Examination of Property & Casualty Insurer Solvency in Canada," Anne E. Kleffner and Ryan B. Lee, Volume 32, pp 52-77. Abstract

Fall 2008

Feature Articles

  1. "Limitations on Punitive Damages Against Insurers Since State Farm v. Campbell: Lessons for Insurers," Anthony W. Morris, J. Stephen Berry, and P. Michael Freed, Volume 31, pp 75-97. Abstract
  2. "Market Pricing of Political Risk: Evidence from the Property- Liability Insurance Industry,"
    Andre P. Liebenberg, Ivonne A. Liebenberg, and Joseph S. Ruhland, Volume 31, pp 98-119. Abstract
  3. "Financial Integration and Economies of Scope: A Cross-Industry Analysis of
    Bancassurance in Taiwan," Lih Ru Chen, Jin Lung Peng, and Jennifer L. Wang, Volume 31, pp 120-151. Abstract
  4. "Market Efficiency: Evidence from Market Reactions of Insurance Industry Stocks to
    the September 11, 2001 Event," Yuling Wang and Richard B. Corbett, Volume 31, pp 152-167. Abstract

Spring 2008

Feature Articles

  1. "Some Issues for Insurers on the Use of Event Data Recorders," Manoj Athavale and Shaheen Borna, Spring 2008, Volume 31, pp 1-15. Abstract
  2. "Workers’ Compensation Insurance Experience Rating and Subsequent Employer Claims: The Wisconsin Experience," Michael M. Barth, Robert W. Klein, and Gregory Krohm, Spring 2008, Volume 31, pp 16-42. Abstract
  3. "The Impact of Cash Flow Volatility on Systematic Risk," Nicos A. Scordis, James Barrese, and Ping Wang, Spring 2008, Volume 31, pp 43-71. Abstract

Feature Articles

Fall 2007

Feature Articles

  1. "Conditions for Captive Insurer Value: A Monte Carlo Simulation," Nicos A. Scordis, James Barrese, and Masakazu Yokoyama, Fall 2007, Volume 30, No. 2, pp 79-101. Abstract
  2. "Application of Game Theory to Pricing of Participating Deferred Annuity," Hong Mao and Krzysztof M. Ostaszewski, Fall 2007, Volume 30, No. 2, pp 102-121. Abstract
  3. "Does Corporate Governance and Ownership Structure Influence Performance? Evidence from Taiwan Life Insurance Companies," Li-Ying Huang, Tzy-yih Hsiao, and Gene C. Lai Fall 2007, Volume 30, No. 2, pp 123-151. Abstract
  4. "Service Quality in Private Passenger Automobile Insurance," J. Tim Query, Robert E. Hoyt, and Min (Enya) He Fall 2007, Volume 30, No. 2, pp 152- 172. Abstract

Spring 2007

Feature Article

  1. "Ownership Concentration and Governance in the U.S. Insurance Industry," Abstract
    James Barrese, Gene Lai, and Nicos Scordis, Spring 2007, Volume 30, No. 1-20.

Special Issue Articles: Insurance Cycles

  1. " Underwriting Cycles: A Synthesis and Further Directions," Mary A. Weiss, Spring 2007, Volume 30, No. 31-46. Abstract
  2. " A Behavioral Model of Insurance Pricing," James A. Ligon and Paul D. Thistle, Spring 2007, Volume 30, No. 46-61. Abstract
  3. " Further Considerations of Underwriting Margins, Interest Rates, Stability, Stationarity, Cointegration, and Time Trends," Joseph D. Haley, Spring 2007, Volume 30, No. 62-75. Abstract

Fall 2006

Feature Articles

  1. "An Examination of the Current State of Retirement Savings with a Focus on Individual Exemptions," Cassandra R. Cole, Kathleen A. McCullough, and Stephen P. Paris, Fall 2006, Vol 29, No. 2, pp 107-131. Abstract
  2. “"There’s a Guy in the Center Aisle with a Gun!” —Workplace Homicides and Shareholder Wealth," Michael J. McNamara and Stephen W. Pruitt, Fall 2006, Vol 29, No. 2, pp 132-157. Abstract
  3. "Curriculum Design in Risk Management and Insurance Education," Mark S. Dorfman, William L. Ferguson, and Tamela D. Ferguson, Fall 2006, Vol 29, No. 2, pp 158-178. Abstract

Brief Article

  1. "Probability Weighting in Damage Claiming Decisions," Yoram Eden and Doron Sonsino, Fall 2006, Vol 29, No. 2, pp 158-178. Abstract

 Spring 2006 

 Invited Article

  • "On Reading Best’s Aggregates and Averages with One Eye Open," Emilio Venezian, Spring 2006, Vol. 29, No. 1, pp 1-32. Abstract

   Feature Articles

  1. "The Strategic Role of Insurance: The Warranty Case," S. Hun Seog, Spring 2006, Vol. 29, No. 1, pp 33-50. Abstract

  2. "The Distribution of Property/Liability Insurance in Canada: Costs and Market Structure," Mary Kelly and Anne Kleffner, Spring 2006, Vol. 29, No. 1, pp 51-70. Abstract

  3. "The Theory of Demand for Health Insurance: A Review Essay," Joseph G. Eisenhauer, Spring 2006, Vol. 29, No. 1, pp 71-87. Abstract

   Author's Reply

  • "The Demand for Health Insurance: A Preference for Certain Losses or Desire for Income Transfers If Ill?," John A. Nyman, Spring 2006, Vol. 29, No. 1, pp88-102. Abstract

Fall 2005

   Feature Articles

  1. "The Level and Structure of Executive Compensation within The Insurance Industry," Manoj Athavale and Stephen M. Avila, Fall 2005, Vol. 28, No. 2, pp. 131-150. Abstract

  2. "Complaint Ratios and Property-Casualty Insurer Characteristics," James M. Carson, Kathleen McCullough and David T. Russell, Fall 2005, Vol. 28, No. 2, pp. 151-166. Abstract

  3. "The Effects of Open-Market Stock Repurchases by Insurance Companies," James M. Miller and S. Gowri Shankar, Fall 2005, Vol. 28, No. 2, pp. 167-182. Abstract

  4. "The Impact of Management Communications on Insurance Company Share Repurchases," John Polonchek and Ronald K. Miller, Fall 2005, Vol. 28, No. 2, pp. 183-210. Abstract


Spring 2005

    Invited Article

  • "Moral Hazard, Adverse Selection, and Tort Liability," James R. Garven, Spring 2005, Vol. 28, No. 1, pp. 1-14.  Abstract

   Feature Articles

  1. "Firm-Level Data Analysis of the Effects of Net Investment Income on Underwriting Cycles: An Application of Simultaneous Equations," Min-Ming Wen and Patricia Born, Spring 2005, Vol. 28, No. 1, pp. 14-32. Abstract

  2. "An Empirical Analysis of the Motives for Fully Funded Defined Benefit Plan Terminations," Cassandra R. Cole and David W. Sommer, Spring 2005, Vol. 28, No. 1, pp. 33-60. Abstract

  3. "Characteristics of Property-Liability Insurance Acquisition Targets," Kathleen A. McCullough and Robert E. Hoyt, Spring 2005, Vol. 28, No. 1, pp. 61-87. Abstract

  4. "Rising Health Care Expenditures: A Demand Side Analysis," Babu Nahata, Krzysztof Ostaszewski, and Prasanna Sahoo, Spring 2005, Vol. 28, No. 1, pp. 88-102. Abstract

  5. "Financial Services Modernization Act of 1999: Market Assessment of Winners and Losers in the Insurance Industry," Abdullah Al Mamun, M. Kabir Hassan, Gordon V. Karels, and Neal Maroney, Spring 2005, Vol. 28, No. 1, pp. 103-128. Abstract


Fall 2004

  1. "Employee Protection and Tax Deductibility Issues when Insuring Employee Benefits through a Captive Insurance Company," Gene C. Lai and Michael J. McNamara, Fall 2004, Vol. 27, No. 2, pp. 87-103. Abstract

  2. "Capacity Constraints and IPO Underpricing in the Property and Liability Insurance Industry," Tong Yu, Bingxuan Lin, Mulong Wang, and William R. Feldhaus, Fall 2004, Vol. 27, No. 2, pp. 104-122. Abstract

  3. "January Return Seasonality in the U.S. Insurance Industry," Khaled Elkhal, Roger Shelor, and Mark Cross, Fall 2004, Vol. 27, No. 2, pp. 123-133. Abstract

  4. "Pricing Life Insurance: Combining Economic, Financial, and Actuarial Approaches," Hong Mao, James M. Carson, Krzysatof M. Ostaszewski, and Luo Shoucheng, Fall 2004, Vol. 27, No. 2, pp. 134-159. Abstract

  5. "Is the One-Time Accounting Charge Really Trivial?--Evidence from the Insurance Industry, Mulong Wang, Chuanhou Yang, and Hong Zou, Fall 2004, Vol. 27, No. 2, pp. 160-180. Abstract


Spring 2004
  1. "Managing Subsidence," Cassandra R. Cole, Patrick F. Maroney, and Kathleen A. McCullough, Spring 2004, Vol. 27, No. 1, pp. 1-21. Abstract

  2. "Understanding Insurance Salesperson Internet Information Management Intentions: A Test of Competing Models," Kevin Celuch, Steven A. Taylor, and Stephen Goodwin, Spring 2004, Vol. 27, No. 1, pp. 22-40. Abstract

  3. "A Discrete Time Pricing Model for Individual Insurance Contracts," Kiseok Oh and Han B. Kang, Spring 2004, Vol. 27, No. 1, pp. 41-65. Abstract

  4. "Pricing of a European Call Option on Pension Annuity Insurance," Rami Yosef, Uri Benzion, and Shulamith T. Gross, Spring 2004, Vol. 27, No. 1, pp. 66-82. Abstract

Fall 2003
    Feature Articles

  1. "The Market Impact of the Financial Services Modernization Act of 1999: Differences Between Life Insurers and Property-Liability Insurers," David Marlett, Carl Pacini, and William Hillison, Fall 2003, Vol. 26, No. 2, pp. 69-92. Abstract

  2. "The Effects of Host Country Factors on the Internationalization of the U.S. Reinsurance Industry," B. Elango, Fall 2003, Vol. 26, No. 2, pp. 93-113. Abstract

  3. "An Empirical Examination of Sample Selection Methods in the Context of Life Insurer Financial Distress," James M. Carson and Robert E. Hoyt, Fall 2003, Vol. 26, No. 2, pp.114-128. Abstract
  4.  Brief Article

  5. "Relative Market Power versus Concentration as a Measure of Market Dominance: Property and Liability Insurance," Edward Nissan, Fall 2003, Vol. 26, No. 2, pp. 129-141.  Abstract 

Spring 2003 
    Invited Article

  • "Is Life Insurance a Human Capital Derivatives Business?," Krzysztof Ostaszewski, Spring 2003, Vol. 26, No. 1, pp. 1-14.  Abstract

   Feature Articles

  1. "The Nightmare of the Leader: The Impact of Deregulation on an Oligopoly Insurance Market," Jennifer L. Wang, Larry Y. Tzeng, and En-Lin Wang, Spring 2003, Vol. 26, No. 1, pp. 15-28.  Abstract

  2. "Switching Cost, Competition and Pricing in the Propert/Casualty Insurance Market for Large Commercial Accounts," Lisa L. Posey, Spring 2003, Vol. 26, No. 1, pp. 29-50.  Abstract

  3. "Loading Factors and Equilibria in Insurance Markets," Yoram Eden, Eliakim Katz, and Jacob Rosenberg, Spring 2003, Vol. 26, No. 1, pp. 51-62.  Abstract

Fall 2002

  1. "Deficits, Empty Individual Accounts, and Transition Costs: Restructuring Challenges Facing China's Pension System," Qixiang Sun and John W. Maxwell, Fall 2002, Vol. 25, No. 2, pp. 103-126. Abstract

  2. "An Increase in Background Risk and Demand for Loss Reduction," Larry Y. Tzeng and Jen-Hung Wang, Fall 2002, Vol. 25, No. 2, pp. 127-141. Abstract

  3. "Technology Readiness in the E-Insurance Industry: An Exploratory Investigation and Development of an Agent Technology E-Consumption Model," Steven A. Taylor, Kevin Celuch, and Stephen Goodwin, Fall 2002, Vol. 25, No. 2, pp. 142-165. Abstract

  4. "Intra-Company Auto Insurance Underwriting Profits Under Alternative Forms of Rate Regulation," Michael M. Barth, Fall 2002, Vol. 25, No. 2, pp. 166-191. Abstract

Spring 2002 
    Feature Articles

  1. "Insurers' Expansion Into Banking: A Look at Operating Returns," Carolin D. Schellhorn and Nicos A. Scordis, Spring 2002, Vol. 25, No. 1, pp. 1-23. Abstract

  2. "An Analysis of the Substitution and Supplemental Effects Between 401(k) and Other Employers' Pension Plans," Jennifer L. Wang, Spring 2002, Vol. 25, No. 1, pp. 24-46.  Abstract

  3. "Relative Effects of Premium Loading and Tax Deductions on the Demand for Insurance," Joseph G. Eisenhauer, Spring 2002, Vol. 25, No. 1, pp. 47-62. Abstract  

  4. "Large Losses and Firm Value: Investor Response and Managerial Decisions," Gene C. Lai, Michael J. McNamara, and Henry R. Oppenheimer, Spring 2002, Vol. 25, No. 1, pp. 63-84. Abstract

Brief Article
  1. "Japanese Consumers' Demand for Cash Value Life Insurance: A Case of Mistaken Identity," Nat Pope, Spring 2002, Vol. 25, No. 1, pp. 85-91.  Abstract 

Spring/Fall 2001 (No.1&2)

  1. "CEO Pay/Performance in the Insurance Industry," Alex H. Wilson and Eric Higgins, Spring/Fall 2001, Vol. 24, No. 1&2, pp. 1-16. Abstract

  2. "Optimal Funding of a Liability," Leslaw Gajek and Krzysztof Ostaszewski, Spring/Fall 2001, Vol. 24, No. 1&2, pp. 17-29. Abstract

  3. "Assessing the Use of Regression Analysis in Examining Service Recovery in the Insurance Industry: Relating Service Quality, Customer Satisfaction, and Customer Trust," Steven A. Taylor, Spring/Fall 2001, Vol. 24, No. 1& 2, pp. 30-57. Abstract

  4. "A Comparison of Large Firm Dominance in Property and Liability Insurance with Major Industries," Edward Nissan and Regina Caveny, Spring/Fall 2001, Vol. 24, No. 1& 2, pp. 58-73. Abstract

Fall 2000

  1. "Insurer Stock Price Responses to the Disclosure of Revised Insured Loss Estimates After the 1994 Northridge Earthquake," David C. Marlett, Richard Corbett, and Carl Pacini, Fall 2000, Vol. XXIII, No. 2, pp. 103-123. Abstract

  2. "The Impact of Fee-Shifting Tort Reform on Out-of-Court Settlements," Lisa L. Posey, Fall 2000, Vol. XXIII, No. 2, pp. 124-139. Abstract

  3. "Performance Analyses of U.S. Property-Liability Reinsurance Companies," Yueyun Chen and Iskandar S. Hamwi, Fall 2000, Vol. XXIII, No. 2, pp. 140-152. Abstract

  4. "Risk Management and Insurance Education at the Millenium," William L. Ferguson, Mark S. Dorfman, Beverly J. Frickel, and Tamela D. Ferguson, Fall 2000, Vol. XXIII, No. 2, pp. 153-179. Abstract

  5. "Risk, the Willingness-to-Pay, and the Value of a Human Life," William P. Jennings and Penelope R. Jennings, Fall 2000, Vol. XXIII, No. 2, pp. 180-184. Abstract

Spring 2000

  1. "Measuring the Value of an Exposure: A Capital Budgeting Approach," Thomas A. Aiuppa and Lise Graham, Spring 2000, Vol. XXIII, No. 1, pp. 1-29. Abstract

  2. "The Nature and Causes of Variation in Insurance Policy Yields: Whole Life and Universal Life," James M. Carson and Mark D. Forster. Spring 2000, Vol. XXIII, No. 1, pp. 30-47. Abstract

  3. "Will Pre-Funding Provide Security for Social Security? A Review of the Literature," Robert L. Brown. Spring 2000, Vol. XXIII, No. 1, pp. 48-76. Abstract

  4. "Determinants of Claims Recovery Among Writers of Auto Physical Damage Coverage: Empirical Evidence," L. Lee Colquitt and Randy E. Dumm. Spring 2000, Vol. XXIII, No. 1, pp. 77-91. Abstract

Fall 1999

  1. "Insurer vs. Insurance Fraud: Characteristics and Detection," Jerry D. Todd, Sandra T. Welch, Orion J. Welch, and Sarah A. Holmes. Fall 1999, Vol. XXII, No. 2, pp. 103-124. Abstract

  2. "Using Catastrophe-Linked Securities to Diversity Insurance Risk: A Financial Analysis of Cat Bonds," Henri Louberge, Evis Kellezi, and Manfred Gilli. Fall 1999, Vol. XXII, No. 2, pp. 125-146. Abstract

  3. "Catastrophe Insurance Options: Are They Zero-Beta Assets?," Robert E. Hoyt and Kathleen A. McCullough. Fall 1999, Vol. XXII, No. 2, pp. 147-163. Abstract

  4. "Dividend Signaling by Insurance Companies and Price Regulation: A Reexamination," Maosen Zhong. Fall 1999, Vol. XXII, No. 2, pp. 164-176. Abstract

  5. "Learning More About Reinsurance," Bruce D. Evans. Fall 1999, Vol. XXII, No. 2, pp. 177-183. Abstract

Spring 1999

  1. "Underwriting and Ambiguity: An Economic Analysis," Patrick L. Brockett, Gene C. Lai, Steven W. Pottier, and Robert C. Witt. Spring 1999, Vol. XXII, No. 1, pp. 1-25. Abstract

  2. "Does Rate Regulation Alter Underwriting Risk?," Michael M. Barth and William R. Feldhaus. Spring 1999, Vol. XXII, No. 1, pp. 26-50. Abstract

  3. "A Numerical Experiment in Insured Homogeneity," Joseph D. Haley. Spring 1999, Vol. XXII, No. 1, pp. 51-60. Abstract

  4. "Insurance IPOs--A Test of the Underpricing Theories," Hamid Rahman and Kenneth Yung. Spring 1999, Vol. XXII, No. 1, pp. 61-77. Abstract

  5. "The Relationship Between Deductibles and Wealth: The Case of Flood Insurance," Ran Barniv, Frederick Schroath, and Avia Spivak. Spring 1999, Vol. XXII, No. 1, pp. 78-97. Abstract

Fall 1998

  1. "The Plaintiff's Attorney in the Liability Insurance Claims Settlement Process: A Game Theoretic Approach," Lisa L. Posey. Fall 1998, Vol. XXI, No. 2, pp. 119-137. Abstract

  2. "The Cost of Biased Insurer Ratings," William L. Ferguson, James Barrese, and David T. Levy. Fall 1998, Vol. XXI, No. 2, pp. 138-150. Abstract

  3. "An Empirical Analysis of Property-Liability Insurance Distribution Systems: Market Shares Across Lines of Business," Laureen Regan. Fall 1998, Vol. XXI, No. 2, pp. 151-171. Abstract

  4. "Profit and Concentration in Commercial Automobile Insurance Losses," Vickie L. Bajtelsmit and Raja Bouzouita. Fall 1998, Vol. XXI, No. 2, pp. 172-182. Abstract

  5. "Life Insurance Company Investment Portfolio Composition," Kathleen L. Henebry and Jeanette M. Diamond. Fall 1998, Vol. XXI, No. 2, pp. 183-203. Abstract

Spring 1998

  1. "Changes in Ownership Structure: Theory and Evidence from Life Insurer Demutualizations," James M. Carson, Mark D. Forster, and Michael J. McNamara. Spring 1998, Vol. XXI, No. 1, pp. 1-22. Abstract

  2. "A Probit Analysis of Best Ratings," Raja Bouzluita and Arthur J. Young. Spring 1998, Vol. XXI, No. 1, pp. 23-34. Abstract

  3. "A Citational Analysis of Journal of Insurance Issues Articles," Kenneth W. Hollman and Emily J. Norman Zietz. Spring 1998, Vol. XXI, No. 1, pp. 35-45. Abstract

  4. "The Nature of the Loss Ratio in Property-Casualty Insurance," Peter M. Ellis. Spring 1998, Vol. XXI, No. 1, pp. 46-62. Abstract

  5. "Index Number 2, Journal of Insurance Issues (and Practices), Vol. VIII-XX (1985-1997)," Michael J. McNamara. Spring 1998, Vol. XXI, No. 1, pp. 63-114. Abstract

Fall 1997

  1. "Punitive Damages in Texas, 1968-1992: An Economic Inquiry," Joseph J. Launie, William P. Jennings, and Robert C. Witt. Fall 1997, Vol. XX, No. 2, pp. 87-110. Abstract

  2. "Life Insurer Risk Characteristics and the Rating Process," Steven W. Pottier. Fall 1997, Vol. XX, No. 2, pp. 111-130. Abstract

  3. "Structure of Property and Casualty Insurance Industry: Asset Concentration in Largest 200 Companies," Edward Nissan. Fall 1997, Vol. XX, No. 2, pp. 131-144. Abstract

  4. "Life Insurer Stock returns, Real Activity, Expected Inflation Rates, and the Money Supply," L. Gardner, M. Najand, and H. Rahman. Fall 1997, Vol. XX, No. 2, pp. 145-159. Abstract

  5. "The Cost/Benefit Ratio: An Ex-Ante Life Insurance Cost Disclosure Index," Dongsae Cho. Fall 1997, Vol. XX, No. 2, pp. 160-180. Abstract

Spring 1997

  1. "Estimating Insurance Costs Across Insurance Divisions," Robert L. Moy, K. Thomas Liaw, and Robert Goch. Spring 1997, Vol. XX, No. 1, pp. 1-9. Abstract

  2. "Insurer Stock Prices and Market Efficiency Around the Los Angeles Earthquake," Reinhold P. Lamb and William F. Kennedy. Spring 1997, Vol. XX, No. 1, pp. 10-24. Abstract

  3. "The Effects of Firm Size on Risk and Profitability of the Property and Casualty Insurance Industry," Lillian Y. Fok, Wing M. Fok., Peihwang P. Wei, and Susan M. L. Zee. Spring 1997, Vol. XX, No. 1, pp. 25-36. Abstract

  4. "The Growth of the World's Fifty Largest Insurance Organizations by Country, 1985-1993," Victor A. Puleo Jr. and Ann Butler. Spring 1997, Vol. XX, No. 1, pp. 37-50. Abstract

  5. "A Further Examination of Bond Insurers as Information Intermediaries: Evidence from Hospital Revenue Bond Financing," James M. Kurtenback and Roger D. Stover. Spring 1997, Vol. XX, No. 1, pp. 51-66.

  6. "Risk and Portfolio Returns for Life Insurance Stocks in Bull and Bear Markets," Gay B. Hatfield and Jian Guo Chen. Spring 1997, Vol. XX, No. 1, pp. 67-83. Abstract

Fall 1996

  1. "How Catastrophe Risk is Shaping Insurance Politics," Leo E Denlea Jr. Fall 1996, Vol. XIX, No. 2, pp. 85-93. Abstract

  2. "Solvency Regulation Through Risk-Based Capital and Risk-Based Guaranty Fund Premiums: An Analysis of Incentive Effects," David W. Sommer. Fall 1996, Vol XIX, No. 2, pp. 94-106. Abstract

  3. "Expert Witnesses in Insurance Litigation," Michael L. Murray. Fall 1996, Vol. XIX, No. 2, pp. 107-132. Abstract

  4. "Ratemaking Inequities Under a No-Fault Automobile Insurance Law," Emily Norman Zietz, Robert D. Hayes, Patrick F. Maroney, and Kenneth W. Hollman. Fall 1996, Vol. XIX, No. 2, pp. 133-148. Abstract

  5. "An Analysis of Futures and Options Use by Life Insurers," L. Lee Colquitt and Robert E. Hoyt. Fall 1996, Vol. XIX, No. 2, pp. 149-162. Abstract

  6. "The Effect of Demographic Variables on Perceived Claims and Service Quality," Marla Royne Stafford and Brenda P. Wells. Fall 1996, Vol. XIX, No. 2, pp. 163-182. Abstract

  7. "The Rankings of Risk Management and Insurance Journals and Tenure and Promotion Requirements at Business Schools," Michael J. McNamara and Phillip T. Kolbe. Fall 1996, Vol. XIX, No. 2, pp. 183-191. Abstract

Spring 1996

  1. "A Nonlinear Modeling Approach for Assessing the Accuracy of Property-Liability Insurer Loss Reserves," Paul M. Kazenski. Spring 1996, Vol. XIX, No. 1, pp. 1-22. Abstract

  2. "On the Relationship between HMO Board Composition and Financial Performance," Anne Carroll, Jan M. Ambrose, and R.B. Drennan. Spring 1996, Vol. XIX, No. 1, pp. 23-38. Abstract

  3. "The "Run on the Bank" Exposure: Evidence and Implications for Life Insurer Insolvency," James M. Carson and William L. Scott. Spring 1996, Vol. XIX, No. 1, pp. 39-52.Abstract

  4. "Natural Disasters, Insurer Stock Prices, and Market Discrimination: The Case of Hurricane Hugo," Juli A.B. Cagle. Spring 1996, Vol XIX, No. 1, pp. 53-68. Abstract

  5. "Insurance and Externalities: An Economic Analysis of Premium Taxes," Joseph G. Eisenhaur. Spring 1996, Vol. XIX, No. 1, pp. 69-77.

Fall 1995

  1. "A Single Period Model for Optimal Underwriting Profit," Ran Barniv, Abraham Mehrez, and Frederick Schroath. Fall 1995, Vol. XVIII, No. 2, pp. 1-15.Abstract

  2. "Corporate Liability, Director/Officer Actions and the Agency Issue," Bill Scroggins Jr., William Fielding, and Louise Clark. Fall 1995, Vol. XVIII, No. 2, pp. 16-33. Abstract

  3. "Operating Expense Efficiency in the U.S. Stock Property-Casualty Insurance Industry," Peter M. Ellis. Fall 1995, Vol. XVIII, No. 2, pp. 34-46. Abstract

  4. "Region and Crop Specific Models of the Demand for Federal Crop Insurance," Barry J. Barnett and Jerry R. Skees. Fall 1995, Vol. XVIII, No. 2, pp. 47-65. Abstract

  5. "The Effect of Reagan Era Public Policy on Private Retirement Plan Growth," Mark L. Power, August Ralston, and Todd R. Kielkopf. Fall 1995, Vol. XVIII, No. 2, pp. 66-79. Abstract

  6. "Scale and Scope Economies for Direct Writers in the Property-Liability Insurance Industry," Chong G. Lee, Iskander S. Hamwi, and Farhang Niroomand. Fall 1995, Vol. XVIII, No. 2, pp. 80-97. Abstract

Spring 1995

  1. "Environmental Factors Influencing the Rates of Property-Liability Insurer Insolvencies," Paul M. Kazenski, Kenneth M. Scoles, and William R. Feldhaus. March 1995, Vol. XVIII, No. 1, pp. 1-22. Abstract

  2. "Insurance Stock Prices Following the 1994 Los Angeles Earthquake," Thomas A. Aiuppa and Thomas M. Krueger. March 1995, Vol. XVIII, No. 1, pp. 23-36. Abstract

  3. "Demutualizations and Free Cash Flows," C. Steven Cole, Michael J. McNamara, and Brenda P. Wells. March 1995, Vol. XVIII, No. 1, pp. 37-56. Abstract

  4. "Strategic Intelligence Systems and the Independent Insurance Agent: Present Status and Future Directions," Troy A. Festervand, Joe H. Murrey Jr., and Emily J. Norman. March 1995, Vol. XVIII, No. 1, pp. 57-74. Abstract

  5. "The Federal Crop Insurance Program: Past, Present, and Future," Barry J. Barnett. March 1995, Vol. XVIII, No. 1, pp. 75-100.

Fall 1994

  1. "A Model of Personal Automobile Insurance Shopping Intentions (PAPSI)," Barry E. Langford and Louis M. Capella. October 1994, Vol. XVII, No. 2, pp. 1-22. Abstract

  2. "An Examination of the Futures Market for Catastrophe Insurance," Mary Ann Boose and A. Steven Graham. October 1994, Vol. XVII, No. 2, pp. 23-44. Abstract

  3. "The Impact of Underwriting on Price Dispersion for Different Automobile Insurance Coverages," Kevin L. Eastman and Alan D. Eastman. October 1994, Vol. XVII, No. 2, pp. 45-72. Abstract

  4. "The Demand for Life Insurance in the United States: Long-Run Versus Short-Run," K. Thomas Liaw, Ronald L. Moy, and John Chuang. October 1994, Vol. XVII, No. 2, pp. 73-84. Abstract

  5. "Estimating Boiler and Machinery Maximum Probable Yearly Aggregate Loss Using a Microcomputer Spreadsheet Simulation," Ramon H. Venegas and Emanuel Melachrinoudis. October 1994, Vol. XVII, No. 2, pp. 85-104. Abstract

Spring 1994

  1. "The Effect of Default Risk Insurers on Municipal Bond Yields," by C. Steven Cole, Pu Liu, and Stanley D. Smith. March 1994, Vol. XVII, No. 1, pp. 1-20. Abstract

  2. "An Analysis of Pet Health Care Insurance," by R. Keith Schewr, Nasser Daneshvary, and Donald W. Hardigree. March 1994, Vol. XVII, No. 1, pp. 21-34. Abstract

  3. "Actuarial Costs of Protecting Retirees' Surviving Spouses," by Normal Nielson and Arnold F. Shapiro. March 1994, Vol. XVII, No. 1, pp. 35-48. Abstract

  4. "The Impact of "Hurricane Hugo" on the Purchase of Indirect Loss Coverage," by Joe H. Murrey, Jr., Robert L. Taylor, R. Keith Tudor, and Kenneth W. Hollman. March 1994, Vol. XVII, No. 1, pp. 49-62. Abstract

  5. "Accounting Information, The Cost of Capital, and the Value of Unlisted Insurers," by Ran Barniv. March 1994, Vol. XVII, No. 1, pp. 63-88.

  6. "Relationships between Property-Liability Insurance Stock Returns and the Business and Underwriting Cycles," by M. Carol Lancaster and Mark L. Cross. March 1994, Vol. XVII, No. 1, pp. 89-106. Abstract

Fall 1993

  1. "Insurer Provide Rating Software and Competitive Advantage: An Evaluation Based on BOP Insurance Applications at Wisconsin Agencies," by Thomas A. Aiuppa and William E. Wehrs. October, 1993, Vol. XVI, No. 2, pp. 1-19. Abstract

  2. "SFAS No. 106, Accounting for Postretirement Benefits Other than Pensions: Potential Impact on Insurance Capacity." by Anthony F. Cocco. October 1993, Vol. XVI, No. 2, pp. 21-27. Abstract

  3. "The Impact of Loss Dimensions in Laboratory Insurance Markets," by Arthur T. Cox. October 1993, Vol. XVI, No. 2, pp. 29-40. Abstract

  4. "Underwriting Best Shares of Excess Layers," by John M. Cozzolino and Peter J. Mikolaj. October 1993, Vol. XVI, No. 2, pp. 41-58. Abstract

  5. "Cost Differences of Distribution Systems by Line in the Property and Liability Insurance Industry," by George B. Flanigan, Daniel T. Winkler, and Joseph E. Johnson. October, 1993, Vol. XVI, No. 2, pp. 59-73. Abstract

  6. "The Fallacy of Social Security as a Regressive Tax," by George E. Rejda, Kyung Lee, and James R. Schmidt. October 1993, Vol. XVI, No. 2, pp. 75-97. Abstract

  7. "Workers' Compensation Issues in Commercial Space Operations," by Steven M. Cassidy, Richard B. Corbett, and Jeffrey S. Cassidy. October 1993, Vol. XVI, No. 2, pp. 99-105.

Spring 1993

  1. "An Examination of Insurance Stock Prices Following the 1989 Loma Prieta Earthquake," Thomas Aiuppa, Robert J. Carney, and Thomas M. Krueger. March 1993, Vol. XVI, No. 1, pp. 1-15. Abstract

  2. "Early Results on Cost and Utilization from Mandating Well-Child Care Benefits," Nancy Sutton-Bell. March 1993, Vol. XVI, No. 1, pp. 15-38. Abstract

  3. "Bad Faith Claims in the Settlement of Insurance Claims: The Mississippi Experience," James A. Bryant and Robert A. Hershbarger. March 1993, Vol. XVI, No. 1, pp. 39-48. Abstract

  4. "Improving Workflow in the Insurance Industry: A Focused Management Approach," Yoram Eden and Boaz Ronen. March 1993, Vol XVI, No. 1, pp. 49-62. Abstract

  5. "Wealth Effects of Mergers in the Insurance Industry," Jeff Madura and Amand Picou. March 1993, Vol. XVI, No. 1, pp. 63-78. Abstract

  6. "An Application of the Distribution of Extremes in Insurance," Edward Nissan and Iskander S. Hamwi. March 1993, Vol. XVI, No.1, pp. 79-91. Abstract


Fall 1992
  1. "Risk Management and Insurance Implications Associated with the Americans with Disabilities Act: Accessibility to Places of Public Accommodation," Robert J. Aalberts and Donald W. Hardigree. July 1992, Vol. XV, No. 2, pp. 1-16. Abstract

  2. "Insurer Use of Discriminatory Expense Loading for Insurance Rating Purposes," Mark L. Cross and Wallace N. Davidson III. July 1992, Vol. XV, No. 2, pp. 17-32. Abstract

  3. "Dynamic Capacity Adjustment of Property-Casualty Insurers" An Empirical Investigation," Ahyee Lee and Ronald Moy. July 1992, Vol. XV, No. 2, pp. 33-48. Abstract

  4. "Capacity as an Indicator of Insurer Insolvency," Norma L. Nielson and Elizabeth V. Grace. July 1992, Vol. XV, No. 2, pp. 49-68. Abstract

  5. "Financial Planning and the Life Insurance Agency," Robert Puelz. July 1992, Vol. XV, No. 2, pp. 69-82. Abstract

  6. "Optimal Hedge Ratios for Property and Liability Insurance Companies," Hamid Rahmanx. July 1992, Vol. XV, No. 2, pp. 83-96. Abstract

Spring 1992

  1. "Attitudes Toward Risk of Accounting Practitioners: Implications for Professional Liability Insurance," Nat R. Briscoe and Richard B. Corbett. January 1992, Vol. XV, No. 1, pp. 1-12. Abstract

  2. "Profitability of Title Insurance Companies," Edwin H. Duett and Robert A. Hershbarger. January 1992, Vol. XV, No. 1, pp. 13-30. Abstract

  3. "Price Variability in Automobile Insurance," Joseph A. Fields, Emilio C. Venezian and David Jou. January 1992, Vol. XV, No. 1, pp. 31-44. Abstract

  4. "How Federal Antitrust Principles Would Impact the Insurance Ratemaking Function," Youssef I. Kouatly and Iskander S. Hamwi. January 1992, Vol. XV, No. 1, pp. 45-64. Abstract

  5. "Determinants of Regional Variation in the Lack of Health Insurance Coverage," James R. Schmidt and Jerome A. Deichert. January 1992, Vol. XV, No. 1, pp. 65-88.

  6. "Accelerated Life Insurance Benefits--The More Multifaceted the Option, the More Complicated the Financial Consequences," Robert Carney, Dianne Morrison, and Kathryn Sullivan. January 1992, Vol. XV, No. 1, pp. 89-96.

Fall 1991

  1. "Modeling Employee Choice under Dual Health Insurance Coverage," Steven M. Cassidy, Michael J. Sullivan, and Robert A. Marshall. July 1991, Vol. XIV, No. 2, pp. 1-14. Abstract

  2. "The Performance of Variable Annuities," Michael J. McNamara and Henry R. Oppenheimer. July 1991, Vol. XIV, No. 2, pp. 15-30. Abstract

  3. "Application of the "Marketing Concept" in the Life Insurance Industry," Joe H. Murrey Jr., R. Keith Tudor, and Kenneth W. Hollman. July 1991, Vol, XIV, No. 2, pp. 31-50. Abstract

  4. "The Role of State Guaranty Funds in the Property Casualty Insurance Industry," Fred B. Power, E. Warren Shows, and Richard L. Meyer. July 1991, Vol. XIV, No. 2, pp. 51-72. Abstract

  5. "Limit-Pricing and Entry into the Property and Liability Insurance Industry," Adel M. Rabh, Ali E. El-Ashry, and Mohamed E. Ali. July 1991, Vol. XIV, No. 2, pp. 73-96. Abstract

Spring 1991

  1. "Institutional and Individual Contributions to Journal of Insurance Issues and Practices, 1977-1989," Larry A. Cox and Sandra G. Gustavson. January 1991, Vol. XIV, No. 1, pp. 1-12. Abstract

  2. "An Examination of the Relative Efficiency of Mutual and Stock Life Insurance Companies," Michael J. McNamara. January 1991, Vol. XIV, No. 1, pp. 13-30. Abstract

  3. "Costly Probabilistic Insurance," Robert Puelz. January 1991, Vol. XIV, No. 1, pp. 31-38.Abstract

  4. "On the Roles of Exposure Number in the Classical Credibility Theory," Li-Hua Lai. January 1991, Vol. XIV, No. 1, pp. 39-43. Abstract

Fall 1990

  1. "The History of the WRIA," Kenneth Pcholke. June 1990, Vol. XIII, No. 2, pp. vii-xii.

  2. "The Economic Impact of Gender-Rating Insurance Rating on Women," Robert J. Carney and Donald W. Hardigree. June 1990, Vol. XIII, No. 2, pp. 1-23.

  3. "Investment Practices of Life Insurance Companies," Richard B. Carter and Howard E. Van Auken. June 1990, Vol. XIII, No. 2, pp. 24-38. Abstract

  4. "Insurance Pricing Using Time Series Regression," Edward W. Frees and Raja P. Velu. June 1990, Vol. XIII, No. 2, pp. 39-55. Abstract

  5. "The Effect of Insurance Education on Students' Attitudes Toward Risk," Steven M. Cassidy and Leroy Franklin. June 1990, Vol. XIII, No. 2, pp. 56-67. Abstract

  6. "An Empirical Investigation of a Statistical Sampling Model for Rate Making," Iskander S. Hamwi and Regina Caveny. June 1990, Vol. XIII, No. 2, pp. 68-88.

  7. "Safety Considerations at Construction Sites in Kuwait," M. A. Ezz Al Din. June 1990, Vol. XIII, No. 2, pp. 89-98. Abstract

Spring 1990

  1. "Insuring the Risk of Unemployment Privately," George E. Rejda and David I. Rosenbaum. January 1990, Vol. XIII, No. 1, pp. 1-26. Abstract

  2. "The Insurer Selection Process by Independent Insurance Agents," Donald W. Hardigree and Vince Howe. January 1990, Vol. XIII, No. 1, pp. 27-46. Abstract

  3. "State Mandatory Health Insurance Benefits: The Iowa Experience," Mark L. Power, August Ralston, and Shelia McGinnis. January 1990, Vol. XIII, No. 1, 47-76. Abstract

  4. "Managing the Interest Rate Risk Exposure of Insurance Companies," Jorge L. Urrutia. Janaury 1990, Vol. XIII, No. 1, pp. 77-86. Abstract

  5. "Underwriting Profits and Investment Income in the U.S. Property-Casualty Insurance Industry," Peter M. Ellis. January 1990, Vol. XIII, No. 1, pp. 87-96. Abstract

  6. "Season Analysis of Fire Insurance Claims in Kuwait," M.H. El-Habashi and M.Y. El-Bassiouni. January 1990, Vol. XIII, No. 1, pp. 97-114.

Fall 1989

  1. "Medical Malpractice: Problems in the Insurance and Legal Systems," Alfred E. Hofflander and Blaine F. Nye. June 1989, Vol. XII, No. 2, pp. 1-21. Abstract

  2. "Hedging a Credited Rate for a Universal Life Policy," Robert E. Hoyt. June 1989, Vol. XII, No. 2, pp. 22-37. Abstract

  3. "Retirement Planning in Comprehensive and Specialized Financial Planning Practices," Robert W. Cooper. June 1989, Vol. XII, No. 2, pp. 38-52. Abstract

  4. "A Profile of Insurance Agency Clusters," Robert A. Hershbarger. June 1989, Vol. XII, No. 2, pp. 53-70. Abstract

  5. "The Value of Municipal Bond Insurance to the Individual Investor," Fikry S. Gahin. June 1989, Vol. XII, No. 2, pp. 71-91. Abstract

  6. "Common Stock Returns and the Size of Loss," C. Ronald Sprecher and Mars A. Pertl. June 1989, Vol. XII, No. 2, pp. 92-109. Abstract

  7. "Policies for Effective Risk Management Performance through Goal Setting," L. S. Chien, B.B. Schweig, and P.L. Yu. June 1989, Vol. XII, No. 2, pp. 110-126. Abstract

Spring 1989

  1. "Multiple Discriminant Analysis of Risk Factors in Developing Graded Premiums for S&L Deposit Insurance," A. Frank Thompson Jr., Z. Lew Melnyk, Anju Ramjee, Prasad Medury, and Balasubramani Ramjee. January 1989, Vol. XII, No. 1, pp. 1-30. Abstract

  2. "Application of the "Marketing Concept" in the Property/Casualty Insurance Industry," Joe H. Murrey Jr., Robert E. Pitts, Eric Reidenbach, and Kenneth W. Hollman. January 1989, Vol. XII, No. 1, pp. 21-57.

  3. "The Reliability of Best's Insurer Ratings Using Financial Information Published in the Annual Report," Billie Ann Brotman. January 1989, Vol. XII, No. 1, pp. 58-70. Abstract

  4. "Impact of Tax Reform Act of 1986 on IRA's Investment Value," William Reichenstein and Mark L. Cross. Janaury 1989, Vol. XII, No. 1, pp. 71-86. Abstract

  5. "Usefulness of Property/Casualty Agency Expense Ratios," James A. Collier and L.S. Scruggs. January 1989, Vol. XII, No. 1, pp. 87-102.

  6. "A Simple Linear Insurance Pricing Model," Iskander S. Hamwi and Edward Nissan. January 1989, Vol. XII, No. 1, pp. 103-115. Abstract

  7. "Integrating Insurance Courses into a Financial Planning Curriculum," Khurshid Ahmad. January 1989, Vol. XII, No. 1, pp. 116-129.

  8. "Rent Seeking and Insurance Education: Comment," A. Frank Thompson, Z. Lew Melnyk, and Narendar Rao. Janaury 1989, Vol. XII, No. 1, pp. 130-135.

Fall 1988

  1. "Approaches to Meeting Client Needs: An Analysis of the Personal Traits and Compensation of Financial Services Professionals," Robert W. Cooper. June 1988, Vol. XI, No. 2, pp. 1-18.

  2. "Wages and Public Higher Education Defined Benefit Pension Plans," Juli-Ann Gasper and Barry B. Schweig. June 1988, Vol. XI, No. 2, pp. 19-38. Abstract

  3. "A Proposal for the Amendment of McCarran Act Antitrust Exemption: Analysis of Affected Activities," Youssef I. Kouatly. June 1988, Vol. XI, No. 2, pp. 39-54.

  4. "Investment in Human Capital, Diversification, and Life Insurance Needs of a Small Businessperson," Hambdi Bilici and P. James Stickels. June 1988, Vol. XI, No. 2, pp. 55-67. Abstract

  5. "Choice Shift: Implications for Insurance Application," Thomas L. Heflin, Mark L. Power, and Wilfred L. Delva. June 1988, Vol. XI, No. 2, pp. 68-82.

  6. "Ratemaking of Natural Risks in Agriculture," Yehuda Kahane. June 1988, Vol. XI, No. 2, pp. 83-91. Abstract

Spring 1988

  1. "The IRS v. the Captive Insurance Industry: A Problem in Insurance Economics," Irving Pfeffer. January 1988, Vol XI, No. 1, pp. 1-10.

  2. "Assessing the Variability of IBNR Reserves," Farrokh Guiahi. January 1988, Vol. XI, No. 1, pp. 11-20. Abstract

  3. "Equity Return Behavior Around the Formation of Insurance Captives," David D. Wood, John L, Glascock, and Dalton L. Bigbee. January 1988, Vol. XI, No. 1, pp. 21-33.

  4. "Evaluating the Impact of Deductible Levels on Health Insurance Expenses," Neil S. Fleming. January 1988, Vol. XI, No. 1, pp. 34-42. Abstract

  5. "Measuring Scale Economies of the Insurance Industry: An Analysis of Multiple Regression Models," Dongsae Cho. January 1988, Vol. XI, No. 1, pp. 43-52. Abstract

  6. "Financial Ratios, Best's Rating and Predictive Models Identifying Insurer Bankruptcy," Billie Ann Brotman. January 1988, Vol. XI, No. 1, pp. 53-61. Abstract

  7. "Prospects for Stock Market Performance of America's Property/Casualty Insurers," Barry B. Schweig. January 1988, Vol. XI, No. 1, pp. 62-63.

Fall 1987

  1. "Determinants on Underwriting Profitability in the Property and Liability Insurance Industry," Lal C. Chugh, Joseph W. Meador, and Sangit Charrerjee. June 1987, Vol. X, No. 2, pp. 1-15. Abstract

  2. "Creating a Limited Liability System for Losses Due to Hazardous Waste," Joan T. Schmit and Dan R. Anderson. June 1987, Vol. X, No. 2, pp. 16-34. Abstract

  3. "Insurer Insolvency: Causes, Effects and Solutions," Thomas L. Wenck. June 1987, Vol. X, No. 2, pp. 35-48. Abstract

  4. "Productivity Measurement for a Health Insurer," Carol A. Sakosky and S. Travis Pritchett. June 1987, Vol. X, No. 2, pp. 49-60. Abstract

  5. "Determination of Competitive Underwriting Profit Margins Using Arbitrage Pricing Theory Model," Jorge Urrutia. June 1987, Vol X, No. 2, pp. 61-77. Abstract

  6. "A Weighted Regression Model for Ratemaking," Iskander S. Hamwi and Edward Nissan. June 1987, Vol. X, No. 2, pp. 78-91. Abstract

  7. "The Impact of the Tax Reform Act on Employee Benefits and Insurance Companies," Jerry L. Jorgensen and Ronald Mano. June 1987, Vol. X, No. 2, pp. 92-99. Abstract

  8. "A Reply to 'Key Man Insurance and Market Reaction: A Comment'," Sharon Garricon, Dan Worrell, P. R. Chandy, and Wallace Davidson. June 1987, Vol. X, No. 2, pp. 100-103.

Spring 1987

  1. "Insurable Losses: Systematic or Unsystematic Risk?" Dongsae Cho. January 1987, Vol. X, No. 1, pp. 1-12. Abstract

  2. "The Application of Option Models to the Reinsurance Market," Billie Ann Brotman. January 1987, Vol. X, No. 1, pp. 13-20. Abstract

  3. "Altering the Economic Impact of IRAs," Richard L. Meyer and Fred B. Power. January 1987, Vol. X, No. 1, pp. 21-26. Abstract

  4. "Multiregional Rate Making," Iskander S. Hamwi and Edward Nissan. January 1987, Vol. X, No. 1, pp. 27-37. Abstract

  5. "Applicability of Net Present Cost in Life Insurance Price Disclosure," Dongsae Cho. January 1987, Vol. X, No. 1, pp. 38-46. Abstract

  6. "Rent Seeking and Insurance Education: An Empirical Test," Gordon D. Johnson, J.J. Launie, and G. Michael Phillips. January 1987, Vol. X, No. 1, pp. 47-52. Abstract

  7. "Key Man Insurance and Market Reaction: A Comment," Jack E. Nicholson and Richard B. Corbett. January 1987, Vol. X, No. 1, pp. 53-61.

  8. "Effects of Including Household Services and Worklife Expectancies in Human Life Valuation Models," Henry A. Laskey, Sandra G. Gustavson, and James S. Trieschmann. January 1987, Vol. X, No. 1, pp. 62-71.

Fall 1986

  1. "A Risk-Based Deposit Insurance System," David P. Rochester and David A. Walker. June 1986, Vol. IX, No. 2, pp. 1-20. Abstract

  2. "The NAIC Information System and the Use of Economic Indicators in Predicting Insolvencies," Robert A. Hershbarger and Ronald K. Miller. June 1986, Vol. IX, No. 2, pp 21-43. Abstract

  3. "The Impact of Corporate Pension Plan Reversions on Retirement Benefits," Fred W. McKenna, A. Frank Thompson, Yong H. Kim, and Philip W. Glasgo. June 1986, Vol. IX, No. 2, pp. 44-56. Abstract

  4. "The Effect of Valued Policy Laws on Selected Measures of Arson," Joe H. Murrey Jr., Robert E. Pitts, Dennis S. Tosh, and Kenneth W. Hollman. June 1986, Vol. IX, No. 2, pp. 57-73. Abstract

  5. "Stacking of Uninsured Motorist Benefits Within a Single Automobile Insurance Policy," Juli-Ann Gasper, Barry B. Schweig, and James P. Scott. June 1986, Vol. IX, No. 2, pp. 74-86. Abstract

  6. "External Environmental Factors Effecting Changes with the Insurance Industry," Thomas L. Heflin and Patricia Strong. June 1986, Vol. IX, No. 2, pp. 87-90.

Spring 1986

  1. "Determinants of the Impact of Large Losses on Stock Returns," C. Ronald Sprecher and Mars A. Pertl. January 1986, Vol. IX, No. 1, pp. 1-11. Abstract

  2. "Cost, Output, and Scale Economies in the Life and Health Insurance Industry," Dongsae Cho. January 1986, Vol. IX, No. 1, pp. 12-26. Abstract

  3. "Personal Values of Insurance Executives," Joe H. Murrey Jr., Sami M. Abbasi, and Kenneth W. Hollman. January 1986, Vol. IX, No. 1, pp. 27-40. Abstract

  4. "Computers Could Solve the Risk Manager's Communication Problems in Large Firms," vs. Fikry S. Gahin. January 1986, Vol. IX, No. 1, pp. 41-53. Abstract

  5. "A Risk Management Perspective on Management Protective Arrangements," Jack E. Nicholson. January 1986, Vol. IX, No. 1, pp. 54-72. Abstract

  6. "Key Man Insurance: Am Empirical Investigation of Market Reaction in Large Firms," P. R. Chandy, W. N. Davidson, Sharon Garrison, and Dan L. Worrell. January 1986, Vol. IX, No. 1, pp. 73-89. Abstract

  7. "International Insurance Education," David L. Bickelhaupt. January 1986, Vol. IX, No. 1, pp. 90-97.

Fall 1985

  1. "A Profile of the Utilization of Futures and Options by the Insurance Industry," John M. Domonkos, Robert A. Hershbarger, and Shahriar Z. Khaksari. June 1985, Vol. VIII, No. 2, pp. 1-16. Abstract

  2. "The Effect of Three Mile Island on Stock Returns in the Property and Liability Insurance Industry," Wallace N. Davidson III and John H. Thornton. June 1985, Vol. VIII, No. 2, pp. 17-31. Abstract

  3. "Explaining Whole Life Insurance Lapse Rates," Joseph M. Phillips Jr., Barry B. Schweig, and James P. Scott. June 1985, Vol. VIII, No. 2, pp. 32-40. Abstract

  4. "Sex and Vehicle Accidents Under Constant Exposure: An Expository Study of Bus Drivers," Jack E. Nicholson and Robert J. Carney. June 1985, Vol. VIII, No. 2, pp. 41-67. Abstract

  5. "Health Insurance and the Unemployed: A Social Insurance Proposal," George E. Rejda. June 1985, Vol. VIII, No. 2, pp. 68-78. Abstract

  6. "Readability in Insurance: An Analysis of the Comprehension of New Policies," James A. Collier. June 1985, Vol. VIII, No. 2, pp. 79-89. Abstract

  7. "Federal Disaster Assistance to State and Local Governments: A Critical Analysis," by Fred B. Power and E. Warren Shows. June 1985, Vol. VIII, No. 2, pp. 90-100. Abstract

  8. "Application of the Engel, Kollat, and Blackwell Model to Consumers of Automobile Insurance: Revisited," Juli-Ann Gasper, Barry B. Schweig, and Guy R. Banville. June 1985, Vol. VIII, No. 2, pp. 101-103.

  9. "Comments on IRA Tax Traps," Ronald M. Mano, E. DeVon Deppe, and Stan E. Jenne. June 1985, Vol. VIII, No. 2, pp. 104-105.

Spring 1985

  1. "Life Insurance, Price Regulation and the Theory of Contestable Markets, Barbara Beliveau. Janaury 1985, Vol. VIII, No. 1, pp. 1-12. Abstract

  2. "Holding Company Affiliation and the Upstreaming on Capital Among Stock Life Insurers," Michael Devaney. January 1985, Vol. VIII, No. 1, pp. 13-22. Abstract

  3. "Application of the Engel, Kollat and Blackwell Model to Consumers of Automobile Insurance," Joseph C. Bonnice. January 1985, Vol. VIII, No. 1, pp. 23-41. Abstract

  4. "The Third Party Administrator for Self-Insured Health Care Plans," Roger M. Siddall and Clyde J. Cooley. January 1985, Vol. VIII, No. 1, pp. 42-51. Abstract

  5. "No-Fault Versus Tort-Liability Compensation for Automobile Accidents: Which is Best?" Jorge Urrutia and Robert C. Witt. January 1985, Vol. VIII, No. 1, pp. 52-71. Abstract

  6. "Choice Shift: Insurance Buying Decisions," Mark L. Power, W.L. Dellva, and Thomas L. Heflin. January 1985, Vol. VIII, No. 1, pp. 72-81. Abstract

  7. "Total Annual Loss Distribution: A Risk Management Decision Making Tool," by Iskander S. Hamwi. January 1985, Vol. VIII, No. 1, pp. 82-93. Abstract

  8. "Comments on IRA Tax Traps," Larry A. Cox and Manson P. Dillaway. January 1985, Vol. VIII, No. 1, pp. 94-97.

  9. "Corporate Risk Management Objective: A Discounted Cash Flow Approach," Mark L. Power. January, 1985, Vol. VIII, No. 1, pp. 98-104.

Fall 1984

  1. Thompson, Andrew F., Jr., and Linda Bowyer, 1984, "Using Financial Futures to Hedge Interest Rate-Risk on Paid-Loss Retrospective Insurance Programs," Journal of Insurance Issues and Practices, Vol. VII, No. 2: 1-9. Abstract

  2. Hamwi, Iskandar S., 1984, "Deriving Total Loss Distribution Parameters," Journal of Insurance Issues and Practices, Vol. VII, No. 2: 10-17. Abstract

  3. Griffith, Reynolds, 1984, "Test of a Strategy for Flexible Media IRA Plans," Journal of Insurance Issues and Practices, Vol. VII, No. 2: 18-24. Abstract

  4. Krogh, Harold C., 1984, "Implications of Federal Off-Budget for Contingency Fund Allocations to Federal Guarantee Insurance Programs," Journal of Insurance Issues and Practices, Vol. VII, No. 2: 25-43. Abstract

  5. McDonald, James L. and John H. Thornton, 1984, "A Possible Technique for Automobile Insurance Territorial Classification," Journal of Insurance Issues and Practices, Vol. VII, No. 2: 44-68. Abstract

  6. Beliveau, Barbara C., 1984, "A Signaling Model of Reinsurance," Journal of Insurance Issues and Practices, Vol. VII, No. 2: 69-83. Abstract

Spring 1984

  1. Nicholson, Jack E., 1984, "Factors Associated With Work Accidents in Predicting Workers' Compensation Losses," Journal of Insurance Issues and Practices, Vol. VII, No. 1: 1-23. Abstract

  2. Phillips, Joseph M. and Barry B. Schweig, 1984, "Local Government Pension Salary," Journal of Insurance Issues and Practices, Vol. VII, No. 1: 24-31. Abstract

  3. Hollman, Kenneth, W. and Joe H. Murrey, Jr., 1984, "A Profile of Insurance Companies Executives," Journal of Insurance Issues and Practices, Vol. VII, No. 1: 32-51. Abstract

  4. Williams, Arthur L., 1984, "Some Empirical Observations on Term Life Insurance: Revisited," Journal of Insurance Issues and Practices, Vol. VII, No. 1: 52-62. Abstract

  5. Lee, David, 1984, "A Mathematical Analysis of Life Insurance Tax Planning Under the Tax Equity & Fiscal Responsibility Act," Journal of Insurance Issues and Practices, Vol. VII, No. 1: 63-70. Abstract

  6. Jassim, Amir A., 1984, "Life Insurance Companies Investment Policies and Factors Influencing Their Investment Decisions," Journal of Insurance Issues and Practices, Vol. VII, No. 1: 71-81. Abstract

  7. Mano, Ronald, E. DeVon Deppe, and Stanley E. Jenne, 1984, "IRA Law Creates Tax Traps," Journal of Insurance Issues and Practices, Vol. VII, No. 1: 82-87. Abstract

Fall 1983

  1. Walker, Michael C. and John H. Thornton, 1983, "Value Maximization Considerations And Retroactive Liability Insurance For The Firm," Journal of Insurance Issues and Practices, Vol. VI, No. 2: 1-15. Abstract

  2. Davidson, Daniel V., 1983, "Bad Faith Moves Beyond the U.C.C.," Journal of Insurance Issues and Practices, Vol. VI, No. 2: 16-22. Abstract

  3. Greene, Mark R., 1983, "The Product Liability Risk, Insurance, and Marketing," Journal of Insurance Issues and Practices, Vol. VI, No. 2: 23-35. Abstract

  4. Hall, Charles P., Jr., 1983, "The Future of Health Insurance and Medicine: A 20 Year Forecast," Journal of Insurance Issues and Practices, Vol. VI, No. 2: 36-57. Abstract

  5. Kouatly, Youssef I., 1983, "Fixed Commission In Private Auto Rates: Unfair Discrimination and Reform Proposals," Journal of Insurance Issues and Practices, Vol. VI, No. 2: 58-71. Abstract

  6. McKenna, Fred W., 1983, "Valuation of Pension Benefits: Explicit or Implicit Assumptions," Journal of Insurance Issues and Practices, Vol. VI, No. 2: 72-82. Abstract

  7. Bradt, Abraham I. and Yehuda Kahane, 1983, "Life Insurance Company Asset Management," Journal of Insurance Issues and Practices, Vol. VI, No. 1: 1-12. Abstract

Spring 1983

  1. Bergiel, Blaise J. and Ronald D.Taylor, 1983, "Effective Use of Follow-up Procedures to Decrease Lapse Rates," Journal of Insurance Issues and Practices, Vol. VI, No. 1: 13-21. Abstract

  2. Escolas, Edmond L. and Ronald W. Spahr, 1983, "Territorial Determination for Windstorm and Hail Rates in Wyoming Homeowners Insurance," Journal of Insurance Issues and Practices, Vol. VI, No. 1: 22-50. Abstract

  3. Kouatly, Youssef I., 1983, "Composite Rating in Liability Insurance: The Risk Manager's Role," Journal of Insurance Issues and Practices, Vol. VI, No. 1: 51-59. Abstract

  4. Power, Mark L., Thomas L. Heflin, and Wm. Theodore Cummings, 1983, "Risk Management Decision Making: A Choice Shift Perspective," Journal of Insurance Issues and Practices, Vol. VI, No. 1: 60-71. Abstract

Fall 1982

  1. Garfin, Louis, 1982, "Current Issues in the Federal Taxation of Life Insurance Companies," Journal of Insurance Issues and Practices, Vol. 5, No. 2: 1-13. Abstract

  2. Angell, Robert J. and John L. Eatman, 1982, "The Hidden Cost of Mortgage Redemption Insurance," Journal of Insurance Issues and Practices, Vol. 5, No. 2: 14-24. Abstract

  3. Taylor, Robert L. and Joe H. Murrey, Jr., 1982, "Insurance Buyers Perceived Risk and Profiles," Journal of Insurance Issues and Practices, Vol. 5, No. 2: 25-43. Abstract

  4. Hamwi, Iskander S., 1982, "Of Asset Shares and Natural Reserves," Journal of Insurance Issues and Practices, Vol. 5, No. 2: 44-51. Abstract

  5. Krogh, Harold C., 1982, "President's Commission on Policy and Implications for Private Pension Financing," Journal of Insurance Issues and Practices, Vol. 5, No. 2: 52-63. Abstract

Spring 1982

  1. Hershbarger, Robert A., Harold C. Krogh, and William L. Roach, 1982, "A Significance of a Concept of Equity in Auto Insurance," Journal of Insurance Issues and Practices, Vol. 5, No. 1: 1-19. Abstract

  2. Murray, Michael L., 1982, "On Selecting Liability Insurance Limits," Journal of Insurance Issues and Practices, Vol. 5, No. 1: 20-28. Abstract

  3. Weaver, Wallace Q., Jr., M. Chapman Findlay, III, and Claude C. Lilly, III, 1982, "Insurance Company Operations - Policy Implications of An Option Pricing Approach," Journal of Insurance Issues and Practices, Vol. 5, No. 1: 29-47. Abstract

  4. Hamwi, Iskandar S., 1982, "The Adjusted Premium Formula - A Critical Analysis," Journal of Insurance Issues and Practices, Vol. 5, No. 1: 48-64. Abstract

  5. Rose, Terry, C. Arthur Parker, and Thomas M. Tole, 1982, "Inflation and Survivors' Postdeath Income: A Challenge to the Life Insurance Industry," Journal of Insurance Issues and Practices, Vol. 5, No. 1: 65-71. Abstract

  6. Scott, Cuthbert L., III, 1982, "Unemployment Insurance: The Impact of Suggested Federal Reforms on the State of Wyoming," Journal of Insurance Issues and Practices, Vol. 5, No. 1: 72-82. Abstract

Fall 1980

  1. Spahr, Ronald W., Edmond L. Escolas, and Michael O. Geesey, 1980, "An Empirical Study of Driver Characteristics in Automobile Accidents and its Relevance for Insurance," Journal of Insurance Issues and Practices, Vol. 3, No. 3: 1-12. Abstract

  2. Thompson, A. Frank, Jr., and Cecil D. Bykerk, 1980, "Retirement Benefit-Cost Under Social Security Versus Private Insurance," Journal of Insurance Issues and Practices, Vol. 3, No. 3: 13-26. Abstract

  3. Rubin, Harvey W., 1980, "Application of Stop Loss Reinsurance," Journal of Insurance Issues and Practices, Vol. 3, No. 3: 27-37. Abstract

  4. Hershbarger, Robert A., 1980, "A Model for Determining the Optimum Annual Aggregate Deductible For a Firm," Journal of Insurance Issues and Practices, Vol. 3, No. 3: 38-59. Abstract

  5. Leonard, Gregory S., 1980, "Equitable Life Experience with Variable Life Insurance," Journal of Insurance Issues and Practices, Vol. 3, No. 3: 60-68.

  6. O'Connell, John J. and John W. Peavy, 1980, "The Use of Quantitative Risk Analysis Techniques by the Life Insurance Industry," Journal of Insurance Issues and Practices, Vol. 3, No. 3: 69-80.

Fall 1979

  1. Bickelhaupt, David L., 1979, "Current Pension Dimensions and New Developments for Retirement Plans for Teachers at State Universities," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 1-16. Abstract

  2. Meidan, Arthur, 1979, "Marketing for Insurance Companies In Britain - The State of The Art," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 17-28. Abstract

  3. Rubin, Harvey W., 1979, "A Study of the Interest of Members of Organized Stock Exchanges In Selling Life Insurance Products," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 29-38. Abstract

  4. Doudna, Donald J., 1979, "Private Annuities and Installment Contracts," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 39-48. Abstract

  5. Skipper, Harold D., Jr., 1979, "The Cost Effectiveness of The Medical Information Bureau," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 49-60. Abstract

  6. Salama, Salama A., 1979, "Explanation of The Aleatory Aspect of The Insurance Contract with Reference To Risk Theory," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 61-76. Abstract

  7. Williamson, Terrence E. and Donald L. Morrison, 1979, "Early Adopted Characteristics Among South Dakota Life Insurance 'Switchers': A Pilot Study," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 77-86. Abstract

  8. Cesta, John R. and John J. O'Connell, 1979, "Business Bankruptcies (1920 - 1970): Insurance Research Implications," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 87-102. Abstract

  9. Taylor, Frank, 1979, "Deferred Annuities As An Inflation Hedge," Journal of Insurance Issues and Practices, Vol. 3, No. 1: 103-112. Abstract

Spring 1979

  1. Thompson, A. Frank, Jr., and Cecil Bykerk, 1979, "An Evaluation of a Proposed Modification to the Standard NonForfeiture Law," Journal of Insurance Issues and Practices, Vol. 2: 1-9.

  2. Anderson, Dan R., 1979, "Risk Management of Jumbo Risks," Journal of Insurance Issues and Practices, Vol. 2: 10-15.

  3. Rubin, Harvey W., 1979, "A Study of the Interest of Members of Organized Stock Exchanges in Selling Life Insurance Products," Journal of Insurance Issues and Practices, Vol. 2: 16-24.

  4. Auxier, Albert L. and W.W. Dotterweich, 1979, "An ExAnte Study of Justifiable Replacements Among Nonparticipating Straight Life Policies," Journal of Insurance Issues and Practices, Vol. 2: 25-45.

  5. Johnson, Joseph E., George B. Flanigan, and Tony R. Wingler, 1979, "Fallacies Concerning Prevailing Opinion on 'Cartels, Competition, and Regulation In The Property and Liability Insurance Industry," Journal of Insurance Issues and Practices, Vol. 2: 46-50.

  6. Morehart, Thomas B., Gary L. Trennepohl, and Lester I. Tenney, 1979, "Evaluating Withdrawal From Social Security: A Simulation Approach," Journal of Insurance Issues and Practices, Vol. 2: 51-69.

  7. Cooper, Robert W., 1979, "Mortality Costs Under The Economic View of Level Premium Life Insurance: A Variety of Configurations," Journal of Insurance Issues and Practices, Vol. 2: 70-79.

  8. Sprecher, C. Ronald and Mars A. Pertl, 1979, "Selecting The Optimal Deductible," Journal of Insurance Issues and Practices, Vol. 2: 80-86.

  9. name, 1979, "Risk Analysis of Corporate Bonds By The Life Insurance Industry," Journal of Insurance Issues and Practices, Vol. 2: 87-97.