Academic Conferences
Seminar Presentation at Leeds University Business School
Persistence of Insurance Activities and Financial Stability
Regele, Fabian; Kubitza, Christian
Travelers Research Symposia
School of Risk Management, Insurance and Actuarial Science at St. John's University, New York
Spillover Duration of Stock Returns and Systemic Risk
Kubitza, Christian; Gründl, Helmut
The World Risk and Insurance Economics Congress (WRIEC)
The Effects of Contingent Convertible (CoCo) Bonds on Insurers' Capital Requirements under Solvency II
Niedrig, Tobias; Gründl, Helmut
Insurance Activities and Systemic Risk
Berdin, Elia; Sottocornola, Matteo
Escaping the Guarantee Trap
Kubtiza, Christian; Niedrig, Tobias
AFFI Conference: Paper will be presented at the 32nd International Conference of the French Finance Association
The Guarantee Trap: A Multidimensional Welfare Analysis
Kubitza, Christian; Niedrig, Tobias
Temple University, Fox School of Business and Management
Workshop on Systemic Risk and the Insurance Industry
Berdin, Elia; Gründl, Helmut
2015 Symposium of the Pension Research Council
The Wharton School
Risk Disclosure in the European Insurance Industry -
Implications for Occupational Pension Funds
Prof. Karel Van Hulle
Jahrestagung 2015, Deutscher Verein für Versicherungswissenschaft (DVfVW)
2015 Annual Meeting of the
German Association for Insurance Science
Equity based Systemic Risk Measures and the Insurance Industry
Berdin, Elia; Matteo Sottocornola
The Effects of Contingent Convertible (CoCo) Bonds on Insurers' Capital Requirements under Solvency II
Niedrig, Tobias; Gründl, Helmut
The Effect of Interest Rate and Longevity Risk on the Solvency and the Risk Taking Behavior of Life Insurers
Berdin, Elia
The Guarantee Trap: A multidimensional Welfare Analysis
Niedrig, Tobias; Kubitza, Christian
2015 Actuarial and Financial Mathemathics Conference
The Guarantee Trap: A multidimensional Welfare Analysis
Niedrig, Tobias; Kubitza, Christian
2014 Southern Risk and Insurance Association (SRIA)
Annual Meeting
The Effects of CoCo Bonds on Insurers' Capital Requirements under Solvency II
Niedrig, Tobias; Gründl, Helmut
Center for the Study of Insurance Regulation (CSIR)
Research Symposium organized by the Journal of Insurance Issues and St. John's University
Optimal Asset Allocation for interconnceted Life Insurers in the Low Interest Rate Environment under Solvency Regulation
Niedrig, Tobias
Is the Risk-Based Mechanism Always Better? The Risk-Shifting Behavior of Insurers under Different Insurance Guarantee Schemes
Dong, Ming; Gründl, Helmut; Schlütter, Sebastian
3rd European Conference on Banking and the Economy (ECOBATE 2014)
Centre for Banking, Finance and Sustainable Development (CBFSD), University of Southampton
Is the Risk-Based Mechanism Always Better?
The Risk-Shifting Behavior of Insurers under Different Insurance Guarantee Schemes
Dong, Ming; Gründl, Helmut; Schlütter, Sebastian
41st Seminar of European Group of Risk and
Insurance Economists (EGRIE)
The Impact of Firm-Level Transparency on the Ex Ante Risk Decisions of Insurers:
Evidence from an Empirical Study
Dong, Ming
The Effects of a Low Interest Rate Environment on Life Insurers
Berdin, Elia; Gründl, Helmut
American Risk and Insurance Association (ARIA)
2014 Annual Meeting
The Effects of a Low Interest Rate Environment on Life Insurers
Berdin, Elia; Gründl, Helmut
2014 Annual Conference Asia-Pacific Risk and
Insurance Association (APRIA)
The Effects of a Low Interest Rate Environment on Life Insurers
Berdin, Elia; Gründl, Helmut
18th International Congress on Insurance:
Mathematics & Economics
Should Life Insurers buy CoCo Bonds? -
Regulatory Effects implied by the Solvency II Standards
Niedrig, Tobias; Gründl, Helmut