SMEAL WIKI
Home
Network graph
Departments
Topics
Papers
Actuarial science
OpenAlex concept - C162118730
Field
Subfield
Domain
OpenAlex
C162118730
Smeal faculty
Lisa L. Posey
- score 5.5
Nan Zhu
- score 4.6
David A. Cather
- score 4.3
Kimberly Cornaggia
- score 3.6
Arnold F. Shapiro
- score 3.1
Rick Mergenthaler
- score 2.9
Keith J. Crocker
- score 2.3
Jess Cornaggia
- score 2.2
Semin Park
- score 2.0
Trent Krupa
- score 1.9
Karl A. Muller
- score 1.5
Samuel Burton Bonsall
- score 1.4
Brent Schmidt
- score 0.9
Giang Nguyen
- score 0.9
Timothy T. Simin
- score 0.9
Brent W. Ambrose
- score 0.9
Chad Marzen
- score 0.8
Phong Truong
- score 0.7
James McKeown
- score 0.6
Jed Neilson
- score 0.5
Chloe Tergiman
- score 0.5
Mehmet Ihsan Canayaz
- score 0.4
James A. Miles
- score 0.4
Chenhui Guo
- score 0.4
Thomas Geelen
- score 0.4
William Kracaw
- score 0.4
John C. Liechty
- score 0.4
Stefan M. Lewellen
- score 0.4
David Haushalter
- score 0.4
Tony M. Kwasnica
- score 0.4
Papers
Estimating the Costs of Issuer-Paid Credit Ratings
(2013)
- cites 217
Portfolio Selection with Higher Moments
(2004)
- cites 194
The Timeliness of Bad Earnings News and Litigation Risk
(2012)
- cites 152
Measuring Distress Risk: The Effect of R&D Intensity
(2007)
- cites 134
Commercial Mortgage-Backed Securities: Prepayment and Default
(2003)
- cites 119
Fuzzy logic in insurance
(2004)
- cites 113
Insurance Fraud and Optimal Claims Settlement Strategies
(2002)
- cites 106
CEO and CFO Career Penalties to Missing Quarterly Analysts Forecasts
(2012)
- cites 104
The Theory of Risk Classification
(2013)
- cites 79
Optimal Managerial Incentive Contracts and the Value of Corporate Insurance
(1987)
- cites 78
Psychological Factors and Stock Option Exercise
(1998)
- cites 78
The Hazard Rates of First and Second Defaults
(2000)
- cites 77
Principles-Based Versus Rules-Based Standards and Earnings Management
(2009)
- cites 59
Estimating the Costs of Issuer-Paid Credit Ratings
(2012)
- cites 56
The Timeliness of Bad Earnings News and Litigation Risk
(2012)
- cites 56
Multidimensional Screening in Insurance Markets with Adverse Selection
(2010)
- cites 50
Policyholder Exercise Behavior in Life Insurance: The State of Affairs
(2017)
- cites 47
External Monitoring of Property Appraisal Estimates and Information Asymmetry
(2002)
- cites 45
More is Less: Publicizing Information and Market Feedback
(2020)
- cites 42
Bank Capitalization, Deposit Insurance, and Risk Categorization
(1993)
- cites 39
The Price of Safety: The Evolution of Municipal Bond Insurance Value
(2023)
- cites 37
Lapse‐and‐Reentry in Variable Annuities
(2016)
- cites 30
Applications of Forward Mortality Factor Models in Life Insurance Practice
(2011)
- cites 29
Credit Ratings Across Asset Classes: A ≡ A?
(2011)
- cites 26
Managerial Ability and Credit Risk Assessment
(2015)
- cites 26
Cream Skimming: Innovations in Insurance Risk Classification and Adverse Selection
(2018)
- cites 26
Reconsidering insurance discrimination and adverse selection in an era of data analytics
(2020)
- cites 23
Screening equilibria in experimental markets
(2007)
- cites 22
Information Acquisition and Mutual Funds
(2005)
- cites 22
Conflicted Credit Analysts
(2012)
- cites 20