“The Impact of Income Smoothing on Accounting Aggregates: The Case of the Property-Casualty Industry.” (With E. Cifi, Q. Liu, S. Mildenhall, L. Powell, and G. Zanjani.) Journal of Risk and Insurance. July 2026.
“Market discipline and government guarantees: Evidence from the insurance industry.” (With Y. Deng, T. Leverty, and G. Zanjani.) Journal of Risk and Insurance. October 2024.
“Paying for expertise: The effect of experience on insurance demand.” (With V. Anand and T. Leverty.) Journal of Risk and Insurance. September 2021.
“Decision and Latitude: Measuring Managerial Discretion.” (With M. Grace and T. Leverty.) Working paper.
“The Impact of Income Smoothing on Accounting Aggregates: The Case of the Property-Casualty Industry.” (With E. Cifi, Q. Liu, S. Mildenhall, L. Powell, and G. Zanjani.) Working paper.
“Market Discipline and Guaranty Funds in Life Insurance.” (With M. Grace, S. Kamiya, R. Klein, and G. Zanjani.) Working paper.
“The Limitations of Insurer Financing of Climate Catastrophes.” (With T. Leverty, L. Powell and B. Zhuang.) Working paper.
“Strategic Entry Decisions in Domestic Insurance Markets.” (With M. Ragin.) Working paper
“Risk-Based Diversification in Insurance Underwriting.” Working paper.
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