Riskcenter

Riskcenter
The research group on Risk in Insurance and Finance is attached to the Institute of Applied Economics IREA-UB
           UB


Articles




Generalitat
SGR 2009-1328
Consolidated research groupabad

Forthcoming
2013 2012 2011 2010
2009
2008
2007
2006
2005
2004
2003
2002
2001

2013
  • Ai, J., Brockett, P.L., Golden, L. and Guillén, M. (2013) “A robust unsupervised method for fraud rate estimation” Journal of Risk and Insurance, 80(1), 121-143.
  • Alemany, R., Bolancé, C. and Guillén, M. (2013) “A nonparametric approach to calculating Value-at-Risk” Insurance: Mathematics and Economics,52(2), 255-262.
  • Belles-Sampera, J., Merigó, J.M., Guillén, M. and Santolino, M. (2013) “The connection between distortion risk measures and ordered weighted averaging operators” Insurance: Mathematics and Economics,52(2), 411-420.
  • Bolancé, C., Alemany, R. and Guillén, M. (2013) " Sistema público de dependencia y reducción del coste individual de cuidados a lo largo de la vida" Revista de Economia Aplicada, 21(61), 97-117.
  • Bolancé, C., Guillen, M. and Nielsen J.P. (2013) “Adding prior knowledge to quantitative operational risk models” Journal of Operational Risk, , 8(1), 17-32.
  • Donnelly, C., Guillén, M. and Nielsen, J.P. (2013) “A robust unsupervised method for fraud rate estimation” Insurance: Mathematics and Economics, 52(1), 65-76.
  • Solé-Auró, A. and Crimmins, E.M. (2013) “The oldest old health in Europe and the United States” Annual Review of Gerontology and Geriatrics, 33(1), 1-33.