02097nam 2200421 450 991079457440332120230630000706.03-7369-6378-5(CKB)4100000011789071(MiAaPQ)EBC6506593(Au-PeEL)EBL6506593(OCoLC)1240580323(EXLCZ)99410000001178907120210930d2021 uy 0engurcnu||||||||txtrdacontentcrdamediacrrdacarrierThe challenges of catastrophe risk management empirical analyses in the CAT bond market. /Tobias Götze1st ed.Göttingen :Cuvillier Verlag,[2021]©20211 online resource (195 pages)3-7369-7378-0 Includes bibliographical references.Intro -- List of Figures -- List of Tables -- List of Symbols -- 1 Introduction -- 1.1 Problem Definition and Objectives of This Work -- 1.2 Course of Investigation -- 2 Structure and Market of CAT Bonds -- 2.1 The Structure of CAT Bonds -- 2.2 Development and Properties of the CAT BondMarket -- 3 Risk Transfer beyond Reinsurance -the Added Value of CAT Bonds14 -- 3.1 Motivation -- 3.2 Literature Review and Hypotheses -- 3.3 Data -- 3.4 Empirical Results -- 3.5 Interim Result -- 4 Hard Markets, Hard Times: On theInefficiency of the CAT BondMarket34 -- 4.1 Motivation -- 4.2 Hypotheses -- 4.3 Data -- 4.4 Empirical Results -- 4.5 Interim Result -- 5 Risk Transfer and Moral Hazard: AnExamination on the CAT BondMarket55 -- 5.1 Motivation -- 5.2 Moral Hazard: Measurement and Hypotheses -- 5.3 Data -- 5.4 Empirical Results -- 5.5 Interim Result -- 6 Conclusion -- Bibliography.Risk managementRisk management.658.155Götze Tobias1559804MiAaPQMiAaPQMiAaPQBOOK9910794574403321The challenges of catastrophe risk management3825292UNINA