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发布时间: 来源:人大经济论坛
1 A General Class of Three-Parameter Risk Measures
Bernell K. Stone
The Journal of Finance
Vol. 28, No. 3 (Jun., 1973), pp. 675-685
(article consists of 11 pages)
Published by: Blackwell Publishing for the American Finance Association
Stable URL: http://www.jstor.org/stable/2978638
2 Risk measures and theories of choice
Tsanakas A. and Desli E., 2003,
British Actuarial Journal 9, 959-981.
http://www.ingentaconnect.com/content/fia/baj/2003/00000009/00000004/art00009
3 Axiomatic characterization of insurance prices
Wang S., Young V. and Panjer H.
Insurance: Mathematics and Economics
Volume 21, Issue 2, 15 November 1997, Pages 173-183
in Honor of Prof. J.A. Beekman
http://www.sciencedirect.com/science/article/pii/S0167668797000310
4 A synthesis of risk measures for capital adequacy,
Wirch J. and Hardy M., 1999
Insurance: Mathematics and Economics
Volume 25, Issue 3, 10 December 1999, Pages 337-347
http://www.sciencedirect.com/science/article/pii/S0167668799000360
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